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Financial Services Regulatory Lawyer

Our client, a global-leading US firm, is looking for a solicitor with 3-6 years of UK regulatory experience to join the London team.

The suitable candidate will have broad experience of providing day to day regulatory advice, especially in

respect of payments, fintech and regulatory transactions. The successful individual will have a strong career history to date, currently work for a well-regarded law firm and have experience in managing client relationships. 

The European financial services regulatory practice delivers comprehensive and thorough domestic and cross-border advice to banks, broker-dealers, asset managers, financial market infrastructure providers, insurance companies, fintechs and buy-side institutions, in various transactional and advisory matters.

The team advises on all areas of financial regulation, covering all the major UK and EU financial services regulations. This includes MIFID II, AIFMD, PSD2, ESG, CSDR, market abuse, governance and remuneration and EMIR, as well as the various regulatory capital regimes. The team assists clients to identify and to manage regulatory change, often on a cross-border basis.

In addition, lawyers help clients in a range of challenging and novel transactional contexts; including distressed scenarios and resolution, M&A in the regulated sectors, as well as transactions driven by regulatory considerations and also advise on the regulatory aspects in relation to the development, issuance and distribution of financial products in the wholesale markets, as well as on regulatory matters relative to Web3 and digital assets.

The firm pays generous rates and provides lawyers with a highly competitive benefits package.

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