You will work for a well-known, highly regarded financial services institution, benefiting from a market-leading position.
This opportunity sits in a team of qualified lawyers who are responsible for working with corporate firms and their mandated law firms, advising all stakeholders on their obligations for issuing an IPO.
You will also deal with problems when they arise on an ad-hoc basis, positioning yourself as a subject matter on expert on regulation and legal matters and being a trusted advisor. These problems could be in relation to new issuers, or the appropriateness of newly proposed securities to be offered by the organisation.
Secondary to the above responsibilities, you will get involved in all legal and regulatory matters required for the day-to-day running of the organisation.
Specifically, this will involve:
Answering external incoming queries on the rules of the firm and other regulatory matters
Being involved in compliance and thematic visits to corporate firms
Investigation of price movements in securities
Performing daily press reviews to check compliance with continuing disclosure obligations
Investigating rule breaches and complaints as part of a wider team
Must have a law degree or legal background
Experience in analysing and understanding financial services regulations
Confident working with external stakeholders for example the FCA
Familiarity with the FCA Handbook
If you feel you have the relevant experience for this newly created opportunity then please apply to this advert and send your CV to Hannah Berihun at Twenty Recruitment.
Twenty Recruitment's Compliance function are a team of specialist consultants covering Financial Crime Compliance and Regulatory Compliance mandates, both permanent and temporary, across Financial Services, Technology and Energy.
Internal Number: 5465370
About Twenty Recruitment Group
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