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Mid-Level Capital Markets And Securities Associate Attorney

BCG Attorney Search

Cleveland (OH)

On-site

USD 80,000 - 150,000

Full time

4 days ago
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Job summary

An established industry player is seeking a mid-level Capital Markets and Securities Associate Attorney in Cleveland, OH. This role involves supporting a dynamic team in advising clients on securities regulation and corporate governance. The ideal candidate will have a strong foundation in transactional law and experience in handling documentation for public offerings and private placements. With a focus on regulatory compliance, this position offers a collaborative environment where your expertise will directly impact a diverse range of clients. If you're ready to advance your career in a thriving law firm, this opportunity is for you.

Qualifications

  • 3-5 years of experience in corporate law or legal department.
  • Expertise in federal securities law and capital markets transactions.

Responsibilities

  • Handle documentation for public securities offerings and private placements.
  • Draft and review periodic filings, including Forms 8-K, 10-Q, and 10-K.

Skills

Legal Drafting
Regulatory Compliance
Time Management
Organizational Abilities
Cross-Functional Teamwork

Education

Juris Doctor (J.D.)

Job description

Mid-Level Capital Markets And Securities Associate Attorney

Company name
BCG Attorney Search

Experience
2-10 yrs required

Location
Cleveland, OH, United States

Posted on
May 08, 2025

Valid Through
Jun 07, 2025

Profile

Job Title:
Mid-Level Capital Markets And Securities Associate Attorney

Job Overview:
A prominent law firm based in Cleveland, OH, is actively seeking a mid-level associate to support its growing Capital Markets & Securities and Corporate Governance practice. This position offers a dynamic environment, working with a collaborative team that advises a broad spectrum of regional and national clients. The ideal candidate brings specialized experience in securities regulation, public and private offerings, and corporate governance advisory, with a strong foundation in transactional law.

Duties:

Handle documentation and regulatory processes related to public securities offerings (Forms S-1, S-3, S-4) and private placements

Draft and review periodic filings, including Forms 8-K, 10-Q, and 10-K

Prepare and analyze registration statements, Section 16 reports, 10b5-1 plans, and proxy materials

Advise on and maintain corporate governance documentation such as committee charters, board materials, governance guidelines, and insider trading policies

Support transactional matters, including mergers, acquisitions, and strategic investments, from a securities compliance standpoint

Assist with logistics and requirements related to annual shareholder meetings

Maintain awareness of applicable listing standards and federal securities regulations

Communicate clearly and effectively in written and verbal formats, ensuring detail accuracy

Prioritize and manage multiple assignments efficiently under time-sensitive conditions

Collaborate across offices in a team-focused environment

Requirements:

3-5 years of experience practicing within a corporate law firm or legal department

Demonstrated expertise in federal securities law and capital markets transactions

Familiarity with the structure and demands of a large legal practice

Licensed to practice law in the state of Ohio or eligible for admission

Education:

Juris Doctor (J.D.) from an accredited U.S. law school

Certifications:

Admission to the Ohio Bar (or ability to obtain promptly)

Skills:

Strong command of legal drafting and regulatory compliance

Meticulous attention to detail in both review and production of legal documentation

Excellent time management and organizational abilities

Comfort with cross-functional teamwork and client-facing roles

Job Location:

Cleveland, OH

Company info

BCG Attorney Search
200 South Wacker Drive, 31st Floor
Chicago
Illinois
United States 60606
Phone : (312) 321-9411
Fax : (213) 895-7306

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