Software Placement Group
Senior Associate Attorney - Corporate Securities
Software Placement Group, Washington, District of Columbia, us, 20022
About the Job:
Senior Associate Attorney - Corporate Securities
We are seeking a Senior Associate Attorney to join our expanding Corporate Securities practice in one of our offices located in Boston, NYC, Philadelphia, or Washington DC. This is an opportunity for a seasoned attorney who is dedicated to the nuances of securities law, including compliance and transactions. The successful candidate will play a critical role in advising some of the most renowned public and private companies, ranging from corporate America to vibrant startups. This full-time position provides a chance to work within a collaborative and innovative team, driving legal and business successes for a diverse clientele.
Compensation:
$230,000.00 - $260,000.00 Essential Duties and Responsibilities: Advise public companies on compliance with the Securities Act of 1933 and the Securities Exchange Act of 1934. Manage both public and private securities offerings including initial and secondary public offerings. Guide clients through the listing rules of national securities exchanges. Prepare and review periodic regulatory filings such as Forms 10-K, 10-Q, 8-K, and proxy statements. Handle Section 16 reporting, including drafting and managing Forms 3, 4, and 5. Undertake corporate governance activities, including drafting board resolutions and corporate policies. Minimum Position Qualifications: At least 6 years of experience in securities law. Robust understanding of public company regulatory and securities offering environments. Admitted to the Bar in one of the jurisdictions of Boston, NYC, Philadelphia, or Washington DC. Preferred Qualifications: Experience with broker-dealers, FINRA, investment advisors, or fund formation highly valued. Strong track record of navigating complex securities law matters. Demonstrable experience with corporate governance and compliance matters. Skills: Exceptional analytical and problem-solving skills. Excellent verbal and written communication abilities. Strong interpersonal skills, capable of building relationships with clients and team members. Proficient in legal research and familiar with research tools relevant to securities law.
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$230,000.00 - $260,000.00 Essential Duties and Responsibilities: Advise public companies on compliance with the Securities Act of 1933 and the Securities Exchange Act of 1934. Manage both public and private securities offerings including initial and secondary public offerings. Guide clients through the listing rules of national securities exchanges. Prepare and review periodic regulatory filings such as Forms 10-K, 10-Q, 8-K, and proxy statements. Handle Section 16 reporting, including drafting and managing Forms 3, 4, and 5. Undertake corporate governance activities, including drafting board resolutions and corporate policies. Minimum Position Qualifications: At least 6 years of experience in securities law. Robust understanding of public company regulatory and securities offering environments. Admitted to the Bar in one of the jurisdictions of Boston, NYC, Philadelphia, or Washington DC. Preferred Qualifications: Experience with broker-dealers, FINRA, investment advisors, or fund formation highly valued. Strong track record of navigating complex securities law matters. Demonstrable experience with corporate governance and compliance matters. Skills: Exceptional analytical and problem-solving skills. Excellent verbal and written communication abilities. Strong interpersonal skills, capable of building relationships with clients and team members. Proficient in legal research and familiar with research tools relevant to securities law.
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