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Regulatory Counsel - Hedge Fund

Lawson Chase

London

On-site

GBP 125,000 - 150,000

Full time

2 days ago
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Job summary

An established industry player is looking for a skilled Regulatory Attorney to join its Legal & Compliance team in London. This role offers a unique opportunity to ensure compliance with regulatory standards across the U.K. and Europe while gaining exposure to diverse trading strategies. You will be instrumental in shaping the firm's compliance framework, advising on regulatory obligations, and collaborating with global colleagues. If you have a strong background in financial regulations and a proactive approach to problem-solving, this position could be your next career move in a dynamic and fast-paced environment.

Qualifications

  • 4–7+ years of PQE, ideally from a leading law firm or in-house experience.
  • Strong knowledge of FCA regulations and financial markets.

Responsibilities

  • Develop and maintain compliance policies and procedures.
  • Advise investment professionals on regulatory obligations.

Skills

Regulatory Compliance
Analytical Skills
Interpersonal Skills
Project Management
Problem-Solving

Education

Law Degree

Job description

Job Description

Our client, a top-tier global hedge fund, is seeking a skilled Regulatory Attorney to join its Legal & Compliance team in London. In this role, you’ll play a pivotal part in ensuring the firm’s activities across the U.K. and Europe remain fully aligned with regulatory standards. This opportunity provides broad exposure to a variety of the firm’s trading strategies, along with the chance to shape and implement key elements of its U.K. compliance framework.

As part of your day-to-day responsibilities, you’ll tackle a comprehensive range of compliance and regulatory matters relevant to an FCA-regulated investment firm. You’ll be responsible for developing, refining, and maintaining the firm’s compliance policies and procedures, advising investment professionals on regulatory obligations, and working closely with colleagues across the firm’s global offices.

Key Qualifications:

  • Law degree with around 4–7+ years of PQE, ideally gained at a leading law firm and/or within an alternative investment manager (in-house experience is a strong advantage).
  • Strong knowledge of financial markets and financial services regulations, particularly those affecting FCA-regulated MiFID investment firms.
  • Excellent analytical, quantitative, and interpersonal skills, with the ability to communicate complex or technical issues clearly and effectively across a range of stakeholders.
  • Proven project management capabilities, meticulous attention to detail, and a proactive approach to problem-solving.
  • A collaborative mindset, strong initiative, and the ability to think both strategically and creatively in a fast-paced, high-performance environment.
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