Experience
4 yrs required
Location
New York City, NY, United States
Posted on
Dec 12, 2022
Profile
Capital Markets & Corporate Compliance Associate
The candidate will be representing public companies, investment banks, hedge funds and private investors in a variety of capital markets transactions, including initial public offerings, fully marketed and “alternative” or “hybrid” follow-on public securities offerings (including registered-direct offerings and confidentially marketed or “wall-cross” public offerings), “overnight” or “bought” deals, at-the-market offerings (ATMs), public and privately placed “equity-line of credit” financings, traditional and structured equity and debt private investments in public companies (PIPEs), debt-for-equity exchanges, and a variety of cross-border securities offerings. Should have experience advising clients on U.S. federal securities law matters and disclosure requirements, as well as other general corporate law matters. In addition to capital markets experience. Should have excellent communication and organizational skills and able to work in a very challenging, fast-paced and sophisticated work environment. Should have 4+ years of substantial capital markets transactional experience representing investment banks, hedge funds, private investment firms, and public companies. Experience working in the business/corporate group of a large law firm is needed. Strong communication and writing skills are needed. Experience working with Canadian or other foreign public companies is a plus.
Company info
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