Corporate amp Securities Associate

BCG Attorney Search

Raleigh (NC)

On-site

USD 150,000 - 210,000

Full time

4 days ago
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Benefits offered by this job

Medical, dental, and vision insurance
Life insurance
401(k) plan
PTO/Vacation
Discretionary performance-based bonus

Job summary

BCG Attorney Search seeks a mid to senior level transactional associate to join its Corporate & Securities Practice Group in Raleigh, NC. The role involves representing public company clients on complex securities, governance, capital markets, and regulatory matters within a collaborative multi-office team.

Qualified candidates have at least four years in corporate & securities at a large firm, strong academics, excellent writing and speaking skills, and a JD with bar license; SEC experience is

Qualifications

  • Four years of corporate & securities experience at a large regional or national law firm.
  • Experience with Securities Act of 1933 and Securities Exchange Act of 1934 matters.
  • Prior service with the U.S. Securities and Exchange Commission is a plus.
  • Excellent academic credentials and strong analytical abilities.
  • Outstanding written and oral communication skills.
  • Licensed to practice law in the relevant jurisdiction or eligible to become licensed.

Responsibilities

  • Represent large Nasdaq and NYSE-listed public company clients.
  • Engage in complex securities and corporate governance matters.
  • Handle capital markets and regulatory issues.
  • Collaborate with a dynamic, multi-office team.

Skills

Analytical abilities
Written and oral communication

Education

Juris Doctor (JD)

Job description

Job Overview

A law firm seeks a mid to senior level transactional associate to join its Corporate & Securities Practice Group in Raleigh, NC. The associate will work within a collaborative, multi-office team representing public company clients across various industries, focusing on complex securities, corporate governance, capital markets, and regulatory matters.


Duties


  • Represent large Nasdaq and NYSE-listed public company clients.

  • Engage in complex securities and corporate governance matters.

  • Handle capital markets and regulatory issues.

  • Collaborate with a dynamic, multi-office team.


Requirements


  • Minimum of four years of corporate & securities experience at a large regional or national law firm.

  • Experience with Securities Act of 1933 and Securities Exchange Act of 1934 matters.

  • Prior service with the U.S. Securities and Exchange Commission is a plus.

  • Excellent academic credentials and strong analytical abilities.

  • Outstanding written and oral communication skills.

  • Licensed to practice law in the relevant jurisdiction or eligible to become licensed.


Education


  • Juris Doctor (JD) degree.


Certifications


  • Licensed to practice law.


Skills


  • Strong analytical and communication skills.

  • Proficiency in handling complex securities and corporate governance matters.


Benefits


  • Medical, dental, and vision insurance.

  • Life insurance.

  • 401(k) plan.

  • Paid Time Off (PTO)/Vacation.

  • Discretionary performance-based bonus.

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