Description:

The New York office is seeking an experienced associate to work in the Regulatory Solutions practice of the Investment Funds Group, specializing in representation of registered and exempt investment advisers, and private U.S. and offshore investment funds. Requires Juris Doctor, Master of Law, or foreign equivalent. Requires admission to the New York State bar. Requires one to five years of experience working as an Associate in the Investment Management practice group of a global law firm. Prior experience must include advising fund sponsors on the formation and operation of investment funds. Experience must include reviewing offering materials, organizational documents and agreements, including private placement memoranda (PPM) and limited partner agreements (LPA). Experience advising clients on compliance with the Investment Advisers Act of 1940. Experience preparing annual filings for submission to the SEC and responding to examinations. Experience researching and preparing memoranda regarding the regulation and operation of private investment funds.