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United States
Full-time 8 views Experience : Min 4 yrs required

support to the Wealth and Investment Management (WIM) division, specifically focusing on the distribution of registered investment companies and private investment funds. The responsibilities include: - Advising on the distribution of mutual funds, ETFs, and other registered products,... ensuring complianc...

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Full-time 1 views Experience : Min 4 yrs required

distribution of mutual funds, ETFs, and other registered products,... ensuring compliance with FINRA rules and SEC regulations. - Provide legal support for the distribution of private funds, including private placements under Regulation D and offshore offerings. - Draft, review, and negotiate distribution-related...

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Investment Management Attorney and Chief Compliance Officer The candidate will serve as Chief Compliance Officer for a closed-end fund multiple trust series (Trust) and as a member of the Regulatory Administration team supporting closed-end funds, as well as open-end funds and ETFs. Maintain the Trust's compliance... program, including review and administration of compliance policies and procedures and the creation of new policies and procedures in response to newly issued regu... read more

Note: This job is no longer active. It was originally posted on [Date] and is part of LawCrossing’s historical archive of legal jobs. While the position may have been filled, employers often remain open to exceptional candidates for similar roles. LawCrossing has tracked this employer's hiring activity for over 25 years. This listing is provided for informational and outreach purposes and may still lead to employment. Learn more about archive jobs and how powerful they are for your search, click here

Analyst, Compliance The candidate will provide the trading operational organization with practical and applicable regulatory and business practice insight, guidance and application to ensure regulatory compliance and best practices in the processing, reporting and execution of all investment securities. This oversight of trading practices and procedures include the following: investment products; equities, options, fixed income, mutual funds, Unit Investment Trusts (U... read more

Note: This job is no longer active. It was originally posted on [Date] and is part of LawCrossing’s historical archive of legal jobs. While the position may have been filled, employers often remain open to exceptional candidates for similar roles. LawCrossing has tracked this employer's hiring activity for over 25 years. This listing is provided for informational and outreach purposes and may still lead to employment. Learn more about archive jobs and how powerful they are for your search, click here

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