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Job Details

Investment Funds Regulatory Associate

Company name
BCG Attorney Search

Experience
1-10 yrs required

Location
New York City, NY, United States

Industry
Legal

Posted on
Mar 04, 2025

Profile

A law firm seeks an experienced associate to join its Regulatory Solutions team within the Investment Funds practice group in New York. This is a unique opportunity for a motivated attorney with expertise in the representation of registered and exempt investment advisers, as well as private U.S. and offshore investment funds. The successful candidate will work on cutting-edge regulatory matters, providing strategic guidance to fund sponsors and clients on compliance and operational issues.

Duties:

  • Advise fund sponsors on the formation and operation of investment funds, including drafting and reviewing key documents such as private placement memoranda (PPM) and limited partner agreements (LPA).
  • Provide regulatory guidance and ensure compliance with the Investment Advisers Act of 1940.
  • Review offering materials, organizational documents, and agreements to ensure legal compliance.
  • Prepare annual filings for submission to the SEC and respond to SEC examinations.
  • Research and prepare detailed memoranda on the regulation and operation of private investment funds.
  • Counsel clients on regulatory changes and compliance best practices within the investment funds industry.
  • Assist with the negotiation and structuring of fund documentation and other related agreements.
  • Support clients with ongoing compliance issues and resolve complex regulatory concerns.
  • Work closely with other members of the team to deliver innovative solutions for clients in the investment management space.

Requirements:

  • 1-5 years of experience in the Investment Management practice group at a global law firm.
  • Extensive experience advising on the formation and operation of investment funds.
  • Knowledge of key documents such as PPMs and LPAs.
  • Strong understanding of regulatory frameworks, particularly the Investment Advisers Act of 1940.
  • Experience preparing and filing reports with the SEC, including annual filings and responding to examinations.
  • Solid research skills and ability to produce detailed, well-reasoned memoranda on complex regulatory matters.
  • Strong communication skills and ability to articulate complex regulatory issues clearly to clients.
  • Proven ability to manage multiple tasks and meet deadlines in a fast-paced environment.

Education:

  • Juris Doctor (JD) or Master of Laws (LL.M.), or foreign equivalent.
  • Strong academic credentials and law school performance.

Certifications:

  • Admission to the New York State Bar or eligibility to obtain admission promptly.

Skills:

  • Expertise in investment fund formation, operation, and regulatory compliance.
  • Strong research and analytical abilities.
  • Ability to draft and review complex legal documents related to investment funds.
  • Experience with SEC filings and regulatory compliance issues.
  • Excellent written and verbal communication skills.
  • Ability to work collaboratively within a team and provide guidance to clients.

Benefits:

  • Comprehensive health, dental, and vision insurance.
  • Retirement plans with employer contributions.
  • Generous paid time off and holiday leave.
  • Opportunities for professional development and growth within the firm.
  • Flexible work arrangements to help maintain a healthy work-life balance.

Company info

BCG Attorney Search
125 Park Avenue, 25th floor
New York
New York
United States 10017
Phone : (212) 232-0277
Fax : (213) 895-7306

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