Experience
5-10 yrs required
Location
Providence, RI, United States
Posted on
Sep 23, 2020
Profile
Attorney – 3rd Party Litigation
The candidate will manage the review and processing of all Third-Party subpoenas and related legal process for the Global Business and Markets Division. Responsibilities: In-depth knowledge of, and experience analyzing and applying federal and state laws and corporate policies related to Third-Party Litigation, discovery compliance and financial privacy. Identify subpoenas relating to the Global Business and Markets Division. This includes but is not limited to matters involving mergers and acquisitions (BofA Securities-provided advisory services), debt and equity financing (e.g. a company’s IPO), commercial mortgage-backed securities, residential mortgage-backed securities, equity research, commercial loans, and institutional accounts. Manage compliance and production relative to subpoenas and similar types of legal process. Responsibilities also include drafting or review of protective orders, drafting objections and responses, negotiating the scope of the subpoenas, and production and retention of responsive documents. Draft and manage preservation orders and coordinate with internal e-Discovery partners and/or related third-party vendors. Should have ability to review relevant litigation related pleadings/documents and assess the risks to the Bank, including the risk of potential future litigation directly against the Bank. In assessing risk, determine if outside counsel must be engaged for motion practice (motion to quash, protective order, etc.). Identify deals/transactions where the Bank is a financial advisor (M & A) and coordinate the response with the client’s counsel and the Bank’s transactional counsel. Build relationships and work closely with the line of business to collect documents and review for responsiveness and privilege.
Company info
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