Registered Funds Senior Counsel

Vanguard Group, Inc.

$135K — $160K *
Legal & Accounting
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Minimum four years of legal work experience focused on the Investment Company Act of 1940.
  • Law degree (JD) required; must be admitted to practice in relevant jurisdiction.
  • Strong working knowledge of SEC regulations and fund governance.
  • Familiarity with business development companies (BDCs) and closed-end funds preferred.
  • Excellent drafting, negotiation, and analytical skills.

Responsibilities

  • Advise on the Investment Company Act of 1940 and its impact on Vanguard's registered funds and business activities.
  • Draft and negotiate legal documents related to fund formation and compliance.
  • Monitor and analyze legislative and regulatory changes affecting Vanguard's investment products.
  • Represent Vanguard with government agencies, such as the SEC.
  • Manage outside counsel on complex regulatory matters.
  • Maintain expertise in registered funds and industry best practices.
  • Mentor junior attorneys and contribute to a collaborative team environment.

Benefits

  • Collaborative team environment with opportunities for mentorship.
  • Engagement in high-impact strategic initiatives.
  • Involvement in diverse projects that influence product development.
  • Continuous professional development in regulatory matters.
Full Job Description

In this role, you will provide the organization with legal advice and representation on matters related to the Investment Company Act of 1940. You will advise on fund formation, governance, regulatory compliance, and strategic initiatives. You will partner with business leaders to help shape new and existing products and collaborate on high-impact initiatives focused on driving value for investors.

Responsibilities:

  • Advise on the Investment Company Act of 1940 and related rules and regulations impacting Vanguard’s registered funds, business activities, investment product development, transactions, and regulatory matters. Ensure that business activities, policies, practices, and transactions comply with all relevant laws and regulations.

  • Draft and negotiate legal documents such as registration statements, shareholder notifications, regulatory filings, advisory agreements, and other fund-related documents.

  • Monitor, analyze, and respond to legislative and regulatory developments related to Vanguard's business activities and investment products to assess the impact, analyze any changes required, and implement updates as necessary.

  • Represent Vanguard’s interests with third parties, including government agencies such as the SEC.

  • Direct and manage outside counsel on complex fund-related matters.

  • Maintain deep expertise in registered funds, regulatory law, Vanguard’s business and products, and industry best practices. Stay current on SEC guidance, rulemaking, and enforcement trends.

  • Mentor junior attorneys and legal staff and contribute to a collaborative team environment.

  • Participate in special projects and perform other duties as assigned.

Qualifications:

  • Minimum four years related legal work experience with a focus on the Investment Company Act of 1940.

  • Undergraduate degree or equivalent combination of training and experience. Law degree (JD) required; admission to practice in relevant jurisdiction.

  • Strong working knowledge of SEC regulations, fund governance, disclosure obligations, and investment adviser compliance. Familiarity with BDCs, closed-end funds (tender offer and interval funds) preferred.

  • Excellent drafting, negotiation, and analytical skills.  Ability to communicate complex regulatory concepts clearly to business partners.

Special Factors

Sponsorship

Vanguard is not offering visa sponsorship for this position.

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