Attorney, Investment Banking

Cantor Fitzgerald Securities

$100K — $150K *
Legal & Accounting
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 3-5+ years of legal experience in debt or equity capital markets at a leading law firm or investment bank.
  • Expertise in advising on IPOs, Shelf-takedowns, and ECM deals.
  • Experience negotiating comfort letters and legal opinions with auditors and issuers' counsels.
  • Strong knowledge of federal securities laws and New York/Delaware corporate law.
  • Excellent drafting skills, especially for engagement letters and purchase agreements.
  • Must have a J.D. from an ABA-accredited law school, with a strong academic record.
  • Must be in good standing with the NY State Bar.

Responsibilities

  • Advise on legal and regulatory matters for the Investment Banking Division.
  • Supervise outside counsel on various capital markets offerings like IPOs and SPACs.
  • Draft and negotiate transaction documents including engagement letters and underwriting agreements.
  • Coordinate with legal and compliance teams globally on securities regulations.
  • Assist in obtaining internal approvals for securities offerings.
  • Liaise with compliance and trading legal teams to ensure regulatory adherence.
  • Research new securities laws and regulations to provide insights.
  • Support the development of internal compliance policies and procedures.

Benefits

  • Opportunity to make a significant impact within the team.
  • Exposure to a fast-paced environment with senior executives.
  • Collaboration with a diverse set of teams including legal, compliance, and operational teams.
  • Involvement in high-profile securities offerings and transactions.
Full Job Description
Job Description

In this role, you will provide legal expertise and commercial insights, ensuring the efficient and timely execution of securities offerings. As a key member of our team, you will have the chance to make a significant impact and contribute to the success of our business.

Responsibilities

  • Advise on legal, regulatory, and reputational matters for the Investment Banking Division.
  • Supervise outside counsel on various capital markets offerings, including IPOs, SPACs, and securitizations.
  • Review, negotiate, and draft transaction documents, such as engagement letters and underwriting agreements.
  • Coordinate globally with legal and compliance colleagues to stay updated on securities regulations.
  • Assist in obtaining internal approvals and ensuring proper governance for securities offerings.
  • Liaise with Investment Banking Compliance and Sales & Trading Legal to promote regulatory compliance.
  • Research and provide insights on new and proposed securities laws and regulations.
  • Support the creation of internal policies and procedures to maintain compliance.
  • Collaborate with deal teams and operational teams to execute securities offerings efficiently.


Qualifications

  • 3-5+ years of debt and/or equity capital markets legal experience at a top-tier law firm or investment bank.
  • Significant expertise in advising investment banks on IPOs, Shelf-takedowns, and other ECM deals.
  • Proficiency in negotiating with auditors and issuer's counsels for comfort letters and legal opinions.
  • Solid understanding of federal securities laws and New York/Delaware corporate law.
  • Strong drafting skills, particularly for engagement letters, NDAs, and purchase/placement agreements.
  • Excellent academic credentials, including a J.D. from an ABA-accredited US law school.
  • Admission to the NY State Bar in good standing is mandatory.
  • Willingness to take on drafting responsibilities and work with minimal precedents.
  • Exceptional writing, organizational, and interpersonal skills.
  • Ability to thrive in a fast-paced, high-pressure environment and interface with senior executives.

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