Senior Corporate & Securities Associate – Public Companies

BCG Attorney Search

Durham (NC)

On-site

USD 180,000 - 230,000

Full time

6 days ago
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Benefits offered by this job

Medical insurance
Dental insurance
Vision insurance
Life insurance
401(k) plan
Paid Time Off (PTO)
Discretionary bonus

Job summary

BCG Attorney Search in Durham, NC seeks a mid-to-senior level transactional associate to join its Corporate and Securities Practice Group. The associate will work with public company clients across industries on complex securities, governance, capital markets, and regulatory matters.

Candidates should have at least four years of corporate and securities experience at a large firm, with familiarity with the Securities Act and Exchange Act, and be licensed or eligible to be licensed to practice

Qualifications

  • Minimum of four years of corporate and 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.
  • Licensed to practice law in the relevant jurisdiction or eligible to become licensed.
  • Excellent academic credentials and strong analytical abilities.
  • Outstanding written and oral communication skills.

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

Strong analytical skills
Excellent communication skills
Experience with equity and debt offers
Proxy statements and periodic reports

Education

Juris Doctor (JD) degree

Job description

BCG Attorney Search in Durham, NC seeks a mid-to-senior level transactional associate to join its Corporate and Securities Practice Group. The associate will work with public company clients across industries on complex securities, governance, capital markets, and regulatory matters.

Candidates should have at least four years of corporate and securities experience at a large firm, with familiarity with the Securities Act and Exchange Act, and be licensed or eligible to be licensed to practice

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