Lead impactful legal initiatives in a dynamic investment management environment. Collaborate with senior leadership on strategic fund formation and compliance. Enhance your expertise in structured credit and regulatory frameworks.
Legal And Compliance Associate
in Financial Services PermanentJob Detail
Job Description
Overview
- Provide legal and regulatory guidance for private and registered investment funds.
- Collaborate with senior leadership on strategic initiatives in a growing platform.
- Focus on compliance with key regulatory frameworks like the Investment Advisers Act.
- Support fund formation, governance, and operations for structured credit products.
- Advise on marketing and distribution of fund interests domestically and internationally.
- Develop and maintain policies and procedures in collaboration with compliance teams.
- Monitor regulatory developments and advise on legal risks and opportunities.
- Manage relationships with external counsel and service providers effectively.
Key Responsibilities & Duties
- Provide day-to-day legal support to investment, operations, and compliance teams.
- Advise on compliance with securities laws, including the Investment Company Act.
- Support structuring, formation, and management of investment funds and credit products.
- Review and negotiate fund documentation, including offering memoranda and agreements.
- Assist with compliance analysis of conflicts, trade restrictions, and governance matters.
- Provide guidance on regulatory considerations for fund marketing and distribution.
- Collaborate with compliance teams to develop and maintain robust policies.
- Monitor regulatory developments and advise on legal risks and opportunities.
Job Requirements
- J.D. from an accredited law school and admission to a U.S. state bar.
- 4-6 years of legal experience in credit-related fund strategies.
- Strong knowledge of the Investment Advisers Act and Investment Company Act.
- Experience with private fund formation and credit-related investment documentation.
- Familiarity with SEC compliance requirements and regulatory filings.
- Excellent drafting, negotiation, and analytical skills.
- Ability to work independently and collaborate across business teams.
- Preferred experience at a leading law firm or asset manager.
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