Regulatory & Product - Associate General Counsel

Interactive Brokers

Washington (District of Columbia)

Hybrid

USD 180,000 - 240,000

Full time

4 days ago
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Benefits offered by this job

Stock grants
Bonus program
401(k) plan
Health benefits

Job summary

Interactive Brokers seeks an experienced regulatory attorney to join the General Counsel office in a hybrid role (4 days in office, 1 day remote) across Washington, DC. You will handle federal securities and commodities matters, advise multiple business lines, and craft policy and disclosure documents to ensure regulatory compliance.

The role requires a J.D. with 5+ years of post‑law school experience, strong communication, and the ability to work in a collaborative environment within a

Qualifications

  • Attorney with 5+ years post-J.D. experience in regulatory matters, broker-dealer or FCM advisory background preferred.
  • Strong oral and written communication skills with ability to explain complex issues clearly.
  • Comfort with technology and ability to translate regulatory requirements into system and process changes.

Responsibilities

  • Assist Chief Regulatory & Product Counsel in handling regulatory matters across federal securities and commodities law.
  • Advise Compliance and business units on federal statutes, SEC/CFTC rules, and SRO rules (FINRA, NFA, CME).
  • Identify system and procedure changes needed to meet new rules and regulations.
  • Draft agreements, disclosures, and website materials; respond to regulatory inquiries (SEC, FINRA, CFTC, NFA).

Skills

Regulatory experience
Oral & written communication
Analytical thinking
Independent & multi-task

Education

J.D. degree

Tools

Legal research databases

Job description

About The Company

Interactive Brokers Group, Inc. (NASDAQ: IBKR), a member of the S&P 500, is a global financial services company headquartered in Greenwich, Connecticut, with offices in over 15 countries. Through its affiliates, Interactive Brokers provides automated trade execution and custody of securities, commodities, foreign exchange, and prediction markets on over 170 markets in numerous countries and currencies.

About The Company

Interactive Brokers Group, Inc. (NASDAQ: IBKR), a member of the S&P 500, is a global financial services company headquartered in Greenwich, Connecticut, with offices in over 15 countries. Through its affiliates, Interactive Brokers provides automated trade execution and custody of securities, commodities, foreign exchange, and prediction markets on over 170 markets in numerous countries and currencies.
For more than four decades, Interactive Brokers has focused on technology, automation, and innovation to provide clients worldwide with a sophisticated, unified platform to manage their investment portfolios. We serve individual investors, hedge funds, proprietary trading groups, financial advisors, and introducing brokers.
Our culture is driven by problem-solving, efficiency, and continuous improvement. We look for individuals who are intellectually curious, collaborative, and motivated to contribute to technology that helps simplify and enhance access to global financial markets. Interactive Brokers has consistently been recognized as a top broker by respected industry sources including Barron’s, Investopedia, Stockbrokers.com, and others.
This is Hybrid role (4 days in office /1 day remote)

About Your Team

Interactive Brokers is looking for a motivated and talented regulatory attorney with experience in commodities issues in the futures commission merchant space, who is interested in joining the firm’s General Counsel office either in Greenwich, CT, New York City, or Washington, DC. Knowledge and experience regarding the U.S. federal securities laws is a substantial plus factor, as is strong knowledge of electronic trading systems and/or computer systems.
What Will Be Your Responsibilities Within IBKR

  • Assisting the firm’s Chief Regulatory & Product Counsel in handling various regulatory matters, including:
  • Evaluating the legal and regulatory impact of new proposed business lines or offerings.
  • Advising the firm’s Compliance Department and various business lines on federal commodities and securities law, including federal statutes, SEC and CFTC rules, and SRO rules (e.g., FINRA, NFA, CME, etc.)
  • Identifying necessary changes to the firm’s systems and procedures to meet new rules/regulations.
  • Crafting written specifications or instructions for programmers and technology staff to respond to new regulations or to launch new business lines.
  • Drafting agreements, disclosures, account documentation and website materials.
  • Handling regulatory inquiries from the SEC, FINRA, CFTC, NFA and other regulatory authorities.
What Required Skill’s You Need

  • At least 5 years of post-J.D. experience at a law firm (with broker-dealer or FCM advisory experience), financial services regulatory agency, exchange, broker-dealer or FCM.
  • Experience in handling regulatory and enforcement matters.
  • Member in good standing of the bar of any U.S. state or the District of Columbia.
  • Solid academic background.
  • High degree of comfort and fluency with computers and technology, and understanding of how technology is applied to business and regulatory problems.
  • Outstanding oral and written communication skills
  • Ability to work in a small-team environment and to work independently and to multi-task with minimal supervision.
To be successful in this position, you will have the following:

  • Self-motivated and able to handle tasks with minimal supervision.
  • Superb analytical and problem-solving skills.
  • Excellent collaboration and communication (Verbal and written) skills.
  • Outstanding organizational and time management skills.
Company Benefits & Perks

  • Competitive salary, annual performance-based bonus, and stock grant awards
  • 401(k) retirement plan with competitive company match
  • Excellent health and wellness benefits, including medical, dental, and vision benefits. 100% employer-paid medical premiums, with generous employer contributions to dental & vision
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