Markets Regulatory Lawyer (Vice President)
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FULL DESCRIPTION
Markets Regulatory Lawyer (Vice President)
[Employer hidden — sign up to reveal] is a global financial services group. This role is for a Markets Regulatory Legal Advisor (Vice President) in the Legal department, located in London.
Company Overview
[Employer hidden — sign up to reveal] is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, [Employer hidden — sign up to reveal] services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global Markets and Investment Banking). Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship. For further information about [Employer hidden — sign up to reveal], visit www.[Employer hidden].com.
Department Overview
The role sits within the Markets Advisory and Documentation Legal Department reporting into the product lead of the Advisory Team. The Advisory Team sits alongside the Masters Documentation Team and the Structured Confirmation Team. The department provides an intellectually stimulating environment that values collaboration, continuous learning, and professional growth.
Job Description
We are seeking a dynamic lawyer to join a team advising on regulatory matters including relating to EMIR, SEC/CFTC, PRA/FCA as they relate to derivatives and funding documentation as well as participate in implementation workstreams. The candidate will have a core knowledge of derivative and funding products and related the regulations that apply to them.
Key Experience
- Qualified Regulatory lawyer
- EMIR clearing and reporting obligations
- margin requirements (IM/VM)
- CRR netting rules and the netting impact on capital/leverage ratio
- CCP documentation requirements and clearing agreements
- Terms of Business
- MiFid requirements
- regulatory change implementation across master documentation
- Creating and enhancing internal procedures and framework documents
Qualities
- Ability to work independently on regulatory matters with strong attention to detail
- Strong communication and organization skills
- Strong analytical and advisory skills
- The ability to manage different priorities
This role offers the opportunity to work at the intersection of regulatory compliance and derivatives/repo/stock lending documentation, supporting the firm's adherence to evolving regulatory frameworks while maintaining efficient trading operations.
Right to Work
The UK Government have taken steps to reduce net migration to the UK. Please note that whilst we are able to consider applications from overseas workers from outside the UK (who require a Tier 2 Skilled Worker visa) we can only employ them if we can provide evidence that this is a genuine vacancy for a qualified role.
Diversity & Inclusion
[Employer hidden — sign up to reveal] is an equal opportunity employer. We value diversity and are committed to ensuring we best reflect the diversity of the communities we serve creating an inclusive environment for all our employees. We welcome all applications and do not discriminate. If you require any assistance or reasonable adjustments due to a disability or long-term health condition, please contact us. [Employer hidden — sign up to reveal] is an Equal Opportunity Employer.
Application
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