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Title

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Securities Lawyer

Description

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We are looking for an experienced and motivated Securities Lawyer to join our legal team. The candidate will play a key role in providing legal advice and services related to the issuance, trading, and regulation of securities. The ideal candidate should have in-depth knowledge of financial law, corporate law, and regulatory requirements imposed by the Financial Supervision Commission and other relevant authorities. Key responsibilities include drafting and reviewing documents related to initial and secondary public offerings, advising clients on regulatory compliance, participating in mergers and acquisitions, and representing clients before regulatory bodies. The lawyer will work closely with investment intermediaries, public companies, banks, and other financial institutions. The candidate must possess excellent analytical and communication skills, the ability to work under pressure, and attention to detail. It is also expected that the candidate stays up to date with legislative changes and provides clients with current legal information. This position offers opportunities for professional development in a dynamic and challenging environment, as well as participation in significant national and international projects.

Responsibilities

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  • Drafting and reviewing securities-related documents
  • Advising clients on regulatory compliance
  • Participating in mergers and acquisitions
  • Representing clients before the Financial Supervision Commission and other authorities
  • Analyzing legal risks related to investments
  • Monitoring legislative changes in securities law
  • Preparing legal opinions and analyses
  • Collaborating with internal teams and external partners
  • Participating in negotiations and contract drafting
  • Training clients and colleagues on legal matters

Requirements

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  • Master’s degree in Law
  • Licensed to practice law
  • Minimum 3 years of experience in securities law
  • Strong knowledge of corporate and financial law
  • Experience working with regulatory authorities
  • Ability to analyze and resolve complex legal issues
  • Excellent communication and presentation skills
  • Professional-level English proficiency
  • Ability to work under pressure and in a team
  • Attention to detail and accuracy

Potential interview questions

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  • What is your experience with initial public offerings?
  • Have you worked with the Financial Supervision Commission?
  • How do you stay updated on legal regulations?
  • Can you describe a case where you identified a legal risk?
  • What are your strengths in client communication?
  • How do you handle tight deadlines and heavy workloads?
  • Do you have experience with international transactions?
  • What legal software tools do you use?
  • What motivates you to work in securities law?
  • How would you handle a conflict of interest?