Software Placement Group
Senior Associate Attorney - Corporate Securities
Software Placement Group, Boston, Massachusetts, us, 02298
About the Job:
Senior Associate Attorney - Corporate Securities
This is an incredible opportunity for an experienced Corporate Securities Attorney to elevate their career by joining a full-service national law firm renowned for its deeply collaborative culture, innovative approach, and unparalleled client service. Based in Boston, NYC, Philadelphia, or Washington DC, this role offers a vibrant work environment where excellence is cultivated and diversity is celebrated. As a key member of our expanding securities group, the selected candidate will influence sophisticated legal practice areas, providing detailed advisory to a vast range of clients from established corporate entities to emerging start-ups and public sector organizations.
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. Conduct public and private securities offerings effectively. Ensure adherence to national securities exchange listing rules. Prepare and review periodic reports such as Forms 10-K, 10-Q, 8-K, and proxy statements. Manage Section 16 reporting obligations including Forms 3, 4, and 5. Oversee corporate governance matters, including the drafting of board resolutions and policies. Provide guidance on regulatory issues concerning broker-dealers, FINRA, investment advisors, and fund formation if applicable. Minimum Position Qualifications: At least 6+ years of in-depth experience in securities law. Comprehensive understanding of public company regulatory obligations and securities transactions. Must be admitted to the bar within the jurisdiction of the respective office (Boston, NYC, Philadelphia, or Washington DC). Demonstrated ability to handle complex legal issues and maintain high standards of confidentiality and discretion. Proven track record in managing multiple projects simultaneously with tight deadlines. Preferred Qualifications: Experience with broker-dealers, FINRA, investment advisors, or fund formation highly desired. Previous roles in top tier law firms or corporate legal departments. Advanced degrees or certifications in financial regulation or corporate governance. Proven leadership skills and team-oriented working attitude. Familiarity with cross-border securities matters and global financial regulations. Skills: Excellent analytical and problem-solving skills. Strong communication and interpersonal skills. Effective organizational skills with attention to detail. Proficiency in legal research and writing. Ability to work under pressure and meet deadlines.
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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. Conduct public and private securities offerings effectively. Ensure adherence to national securities exchange listing rules. Prepare and review periodic reports such as Forms 10-K, 10-Q, 8-K, and proxy statements. Manage Section 16 reporting obligations including Forms 3, 4, and 5. Oversee corporate governance matters, including the drafting of board resolutions and policies. Provide guidance on regulatory issues concerning broker-dealers, FINRA, investment advisors, and fund formation if applicable. Minimum Position Qualifications: At least 6+ years of in-depth experience in securities law. Comprehensive understanding of public company regulatory obligations and securities transactions. Must be admitted to the bar within the jurisdiction of the respective office (Boston, NYC, Philadelphia, or Washington DC). Demonstrated ability to handle complex legal issues and maintain high standards of confidentiality and discretion. Proven track record in managing multiple projects simultaneously with tight deadlines. Preferred Qualifications: Experience with broker-dealers, FINRA, investment advisors, or fund formation highly desired. Previous roles in top tier law firms or corporate legal departments. Advanced degrees or certifications in financial regulation or corporate governance. Proven leadership skills and team-oriented working attitude. Familiarity with cross-border securities matters and global financial regulations. Skills: Excellent analytical and problem-solving skills. Strong communication and interpersonal skills. Effective organizational skills with attention to detail. Proficiency in legal research and writing. Ability to work under pressure and meet deadlines.
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