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Regulatory Counsel, Investment Adviser (USA)

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Job Description - Regulatory Counsel, Investment Adviser (USA)

This role is critical in managing investor contractual relationships, guiding the company’s understanding of regulatory frameworks and fostering a culture of integrity and ethical practices. You’ll collaborate with other attorneys in a small team, senior leadership and cross-functional teams to proactively manage legal risk and guide the company’s investment-related legal efforts.

Responsibilities:

  • Manage maintain and advise on fund offering documents, navigate and manage ongoing side letters and agreements for separately managed accounts
  • Advise on financial market and global trading regulatory obligations, including filings, cybersecurity requirements, and all manner of nuanced topics in the financial market space
  • Support the company's compliance with SEC regulatory requirements and industry best practices by working closely with the company’s Chief Compliance Officer and staff
  • Provide guidance to Compliance, Technology, Finance, Investor Relations, and Management teams on financial and business legal risks
  • Monitor and interpret changes in securities laws, SEC regulations, and corporate governance trends.
  • Manage legal efforts to establish counterparty agreements including global clearing and ISDA agreements.
  • Assist with Fund board of director meetings and board governance matters.
  • Support other attorneys on a variety of business and technology legal responsibilities.
  • Support internal investigations and respond to regulatory inquiries as needed.
  • Help develop and maintain internal policies and procedures related to securities law compliance.
  • J.D. from an accredited law school and admission to a U.S. state bar.
  • At least 5 years of relevant legal experience, preferably with a combination of law firm and in-house public company experience.
  • Substantive experience advising on the Investment Advisers Act, Securities Act, and related SEC regulatory regimes.
  • Deep understanding of US and global security regulations, including SEC, CFTC, NFA and FCA frameworks
  • Strong grasp of corporate governance, board operations and fiduciary obligations
  • Prior experience drafting and negotiating fund offering documents, side letters, ISDAs, NDAs, and other complex financial agreements.
  • Ability to come 4 days per week in office with greater flexibility over time
  • Competitive salary, plus bonus based on individual and company performance.
  • Collaborative, casual, and friendly work environment while solving the hardest problems in the financial markets.
  • PPO Health, dental and vision insurance premiums fully covered for you and your dependents.
  • Pre-Tax Commuter Benefits – making your commute smoother.

Trexquant is an Equal Opportunity Employer

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