LFP Associates
Senior Associate Attorney - Corporate Securities
LFP Associates, Washington, District of Columbia, us, 20022
Note : Hiring for multiple offices. This position requires employees to be on-site five days a week at the Boston, NYC, Philadelphia, or Washington DC office.
About Our Client
Our client is a full-service national law firm with approximately 400 attorneys, offering proactive advice and top-notch client service. Their collaborative culture, innovative approach, and focus on diversity create a supportive environment that inspires excellence. With offices across the U.S., they serve a diverse clientele from corporate America to exciting start-ups, nonprofits, and governmental entities.
Job Description
Our client is seeking a Senior Associate Attorney to join their expanding securities group. This is an exciting opportunity to work in a sophisticated, entrepreneurial practice. Responsibilities include:
Advising public companies on Securities Act of 1933 and Securities Exchange Act of 1934 compliance
Handling public and private securities offerings
Navigating national securities exchange listing rules
Reporting on Forms 10-K, 10-Q, 8-K, and proxy statements
Drafting and managing Section 16 reporting (Forms 3, 4, 5)
Corporate governance, including drafting board resolutions and policies
Experience with broker-dealers, FINRA, investment advisors, or fund formation is a plus
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About Our Client
Our client is a full-service national law firm with approximately 400 attorneys, offering proactive advice and top-notch client service. Their collaborative culture, innovative approach, and focus on diversity create a supportive environment that inspires excellence. With offices across the U.S., they serve a diverse clientele from corporate America to exciting start-ups, nonprofits, and governmental entities.
Job Description
Our client is seeking a Senior Associate Attorney to join their expanding securities group. This is an exciting opportunity to work in a sophisticated, entrepreneurial practice. Responsibilities include:
Advising public companies on Securities Act of 1933 and Securities Exchange Act of 1934 compliance
Handling public and private securities offerings
Navigating national securities exchange listing rules
Reporting on Forms 10-K, 10-Q, 8-K, and proxy statements
Drafting and managing Section 16 reporting (Forms 3, 4, 5)
Corporate governance, including drafting board resolutions and policies
Experience with broker-dealers, FINRA, investment advisors, or fund formation is a plus
#J-18808-Ljbffr