Corporate Securities Attorney
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Job Description
We had technical difficulties recording the call. Look at an overview and the transcript here We are looking for a Corporate Securities Attorney with 8-12 years of experience to join our growing Corporate department. This is a key role designed for a senior attorney to whom our Practice Group Leader can delegate significant securities work for a major client. What will you be doing? Advising public companies and underwriters on equity and debt offerings under the Securities Act of 1933. Handling the full IPO process, follow-on offerings, and Rule 144A private placements. Managing SEC disclosure obligations, including drafting and reviewing 10-Ks, 10-Qs, 8-Ks, and proxy statements. Advising on NYSE/Nasdaq listing requirements and ongoing corporate governance. Working independently on substantial workstreams for the practice group’s key clients. 8+ years of experience as a practicing attorney. Substantial, demonstrable experience with offerings under the Securities Act of 1933 and reporting under the Securities Exchange Act of 1934. Deep expertise in SEC disclosure obligations, stock exchange listing rules, and public company reporting. Florida Bar admission, or eligibility for admission. Experience at a major law firm is strongly preferred.
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