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Steptoe LLP seeks an associate with 3–5 years of experience advising on securities regulatory matters to join the Firm’s Financial Innovation & Regulation practice, in Washington, DC or New York.
The role involves counseling clients on securities laws for broker-dealers, investment advisers, private funds, trading platforms, and digital asset matters, with emphasis on SEC/FINRA regulatory requirements and enforcement.
Steptoe LLP seeks an associate with 3–5 years of experience advising on securities regulatory matters to join the Firm’s Financial Innovation & Regulation practice, in Washington, DC or New York.
The role involves counseling clients on securities laws for broker-dealers, investment advisers, private funds, trading platforms, and digital asset matters, with emphasis on SEC/FINRA regulatory requirements and enforcement.