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VP Capital Markets and Banking Attorney
Refer job# FYGY137124
VP Capital Markets and Banking Attorney The candidate will be part of the Capital Markets and Banking Legal team in the Americas, providing legal support to businesses involved in equity and debt capital markets origination and syndication and mergers and acquisitions advisory services, including advising firm's transaction and commitment committees in the Americas and working with senior business personnel across the coverage sectors and vertical products in the Capital Markets and Banking business within the Investment Bank. Will have primary coverage responsibility across all industry coverage sectors (i.e., Natural Resources, Financial Institutions, Healthcare, Consumer, Power and Utilities) and vertical products (i.e., Equity and Debt Capital Markets, Mergers and Acquisitions, Private Capital Markets.) and will be responsible for the structuring, negotiation and documentation of a variety of matters, such as underwriting/purchase agreements, engagement letters, fairness opinions, and Capital Markets and Banking confidentiality agreements. Also be responsible for advising the relevant businesses on regulatory developments and legal issues arising within the relevant coverage area (particularly, SEC rules and regulations, FINRA broker dealer rules, state MandA law and conflicts of interest developments). Work cooperatively with business and legal teams in foreign jurisdictions in the Americas, EMEA and APAC to advise on US laws and regulations and cross-border issues. Assist the businesses in managing legal and reputational risks of the firm s transactions and activities in the relevant coverage area, including supporting the firm s Transaction Review Committee and working alongside and advising its Business Selection and Compliance departments. Together with other members of the Capital Markets and Banking Legal team, the role holder will work closely with senior business personnel and other related stakeholders (Legal, Compliance, Business Selection, Ops, Tax, Risk, etc.) to manage the execution of Capital Markets and Banking transactions and the legal, execution and regulatory issues relating to them. Engage in regular discussions with the product teams (primarily MandA, ECM, PCM, Syndicate, Leveraged Finance and DCM) and with members of the industry teams covering the relevant sectors to ensure that transaction execution and legal risk management are being conducted in accordance with commercial objectives of the business. Work with external counsel to efficiently manage the execution of a large volume of transactions in the relevant Capital Markets and Banking coverage areas in a manner consistent with the objectives of our Legal Panel framework. Also maintain form documentation for the relevant coverage areas and ensure that deals reflect a consistent approach to prospectus/proxy disclosure and/or M&A advisory transactions. Lead negotiation of legal agreements with external Capital Markets and Banking clients, including mandate agreements, non-disclosure agreements, and ancillary letter agreements. Advise the businesses on conflict of interest issues arising in the course of transaction planning and execution and facilitate the firm s provision of premium client service within an appropriate legal and conflict-management framework. Regularly present updates on transaction execution matters and report on legal and regulatory developments to the Head of Capital Markets and CIBD Legal Americas . The role holder will also work with other members of the Captial Markets and Banking Legal team, both in the Americas and in other regions, to ensure a consistent approach to legal issues affecting the Capital Markets and Banking businesses. Hold a deep knowledge of investment banking and industry practices through ongoing review of transactions and dialogue with peers at other institutions and law firms.

The candidate should preferably be a practicing attorney for 4+ years and have prior experience working at an investment bank or experience at a top tier law firm, and knowledge of US securities laws, mergers and acquisition issues and broker-dealer regulation. Should have JD degree or foreign equivalent and be admitted to the Bar in New York. Must have experience as a capital markets attorney and/or as an M&A advisory attorney within a large investment bank or within a top law firm. Must have excellent written and verbal English language skills. Any foreign language skills is a plus.

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