Investment Management - Regulatory Associate or Senior Associate, New York, Boston

Investment Management - Regulatory Associate or Senior Associate, New York, Boston

The Investment Management Practice of our Securities and Financial Services Department seeks an associate with two to six years’ experience to work with asset management clients on regulatory and transactional matters. The ideal candidate would have experience counselling institutional managers on SEC matters involving the Investment Advisers Act and/or Investment Company Act and related rules. The candidate should also have familiarity negotiating and drafting transactional documents for investment managers. The candidate chosen for this role will collaborate with broker-dealer, enforcement, CFTC and corporate colleagues on matters involving major Wall Street firms and financial institutions.

WilmerHale is an Equal Opportunity Employer. All qualified applicants will receive consideration without regard to race, color, religion, gender, sexual orientation, gender identity, national origin or ancestry, age, disability or veteran status, or other protected status.