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Securities Law Attorney
Refer job# FIHR135928
 
Securities Law Attorney The candidate will provide legal support for clients in Controllers, Investor Relations, Office of the Secretary, and Treasurer s departments as well as additional advice as needed for other departments such as Public and Government Relations and Corporate & Strategic Planning. This position requires analysis and advice on complex securities law questions involved in financial reporting and compliance, advice on corporate governance issues facing the Corporation, advice and oversight on securities transactions including public offerings, and advice and negotiation involving merger & acquisition transactions. Work in close relationship with assigned clients including senior management of the Corporation as well as with teams of attorneys from other areas as needed and with oversight from more experienced securities law attorneys where required. Provide legal review and analysis of SEC filings, including 10-K, 10-Q, and 8-K reports as well as Proxy Statement filings including shareholder proposals; experience with reporting requirements for proved oil and gas reserves a plus. Advise and support the Corporation s compliance with applicable securities laws including Regulation FD, Regulation G, and other regulations applicable to the Corporation as well as applicable stock exchange requirements. Advise and assist the Corporation on corporate governance issues including assisting management in interactions with proxy advisory firms and investors. Advise and assist the Corporation on capital market and financing transactions including SEC-registered debt offerings, commercial paper programs, and bank lines of credit. Advise and assist the Corporation in structuring and negotiating merger and acquisition transactions, including public company acquisitions requiring SEC registration on Form S-4 as well as compliance with international regulatory regimes. Advise and assist the Corporation on new SEC rulemakings, including helping develop comment letters, interfacing with trade associations, and helping the Corporation develop programs to ensure compliance with new regulations. Coordinate with and oversee outside counsel, where counsel is retained. J.D. from an accredited law school and strong college and law school record (top 1/3 of class preferred) required. License to practice law in at least one state required. Strong: research and writing skills; interpersonal and communication skills including skills in making presentations to senior management required. 7+ years of relevant work experience in a law firm, corporation or agency dealing with securities regulations applicable to public companies required. Ability: and desire to work independently and as a member of an integrated team; and willing to travel in support of client work efforts required. Working knowledge of international corporate law, financial and governance matters preferred. Experience: with the full range of securities regulations applicable to public companies; with corporate governance best practices for major public companies; drafting complex disclosure documents as well as complex agreements such as merger and acquisition agreements preferred. Demonstrated record of leadership and initiative preferred. Industry experience (energy especially oil and gas) preferred. Record of Pro Bono Service preferred.
 
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