9 дней назад
Director, Legal, Brookfield Capital Solutions (Securities & Structured Finance)
200 000 - 250 000$
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Director, Legal, Brookfield Capital Solutions (Securities & Structured Finance): Supporting capital markets, syndicated securities, structured finance, asset management transactions, and corporate governance with an accent on U.S. securities laws, SEC and FINRA regulations, and complex transaction negotiations. Focus on advising broker-dealer activities, negotiating commitment letters and credit agreements, managing conflicts of interest, and building robust governance frameworks.
Location: Place New York, 225 Liberty Street, 8th Floor; based in 's New York City offices
Base salary: $200,000–$250,000 per year, plus short-term and long-term incentive programs.
Company
is a global investment and asset management organization with a collaborative, entrepreneurial, and disciplined working culture.
What you will do
- Advise 's Capital Solutions business and broker-dealer on origination and syndication activities.
- Review and negotiate commitment letters, underwriter agreements, engagement letters, credit agreements, prospectuses, NDAs, and service provider agreements.
- Provide securities law advice on syndicated transactions, including applicable FINRA requirements.
- Support separately managed accounts, asset management transactions, joint ventures, strategic partnerships, and external managers.
- Advise on regulatory matters, conflicts of interest, investment opportunity allocations, policies, and procedures.
- Support corporate governance, entity management, internal conflict-resolution procedures, external counsel selection, and special legal projects.
Requirements
- New York bar admission required.
- At least four years of experience at a major law firm, investment bank, or broker-dealer focused on syndicated securities transactions and/or structured finance.
- Strong working knowledge of U.S. securities laws and SEC and FINRA regulations.
- Strong communication, analytical, organizational, interpersonal, and judgment skills.
- Ability to work independently, manage priorities, meet timelines, and build collaborative relationships.
- High professional ethics, integrity, and attention to detail.
Nice to have
- Familiarity with 144a and 4(a)(2) transactions.
- Experience with the investment management industry and separately managed accounts.
Culture & Benefits
- Challenging work assignments and exposure to diverse businesses.
- Opportunities for professional development and collaboration across portfolio management, syndication, risk management, investment operations, finance, tax, compliance, and operations.
- Base compensation includes short-term cash incentives and a long-term incentive program.
- Commitment to a safe, respectful, and inclusive work environment.
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