Counsel 4 Corporate Regulatory Section Counsel Jobs in North_Carolina - 141597 | Submit Resume | General Counsel Consulting
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Counsel 4 Corporate Regulatory Section
Refer job# HBSP141597
 
Counsel IV The candidate in the Corporate Regulatory Section of the Enterprise Risk, Regulatory and Audit division. Attorneys in the Section provide expert legal and technical advice regarding U.S. corporate-level bank and bank holding company laws and associated regulations and guidance. These include, for example, Federal Reserve Regulations K, O, W, Y and YY; National Bank Act powers and related OCC regulations; regulatory capital, leverage and liquidity rules; regulations covering the activities of designated systemically important banks; bank branching and other office establishment issues; federal preemption; anti-tying rules; and federal antitrust laws. The advice and counsel provided by Section attorneys includes advice on regulatory and supervisory requirements and expectations; advice in connection with development of new or expanded products and services; and advice in connection with the development of policies, procedures, and training with regard to those laws and regulations, and associated topics with respect to which Section attorneys serve as subject matter experts. Section attorneys provide advice to members of the Legal Department and counsel to Business Groups and Enterprise Functions, including Corporate Risk and Audit Services on laws and regulations and corporate risk and compliance policies, the Company s risk management framework and related risk containment and mitigation efforts. Other responsibilities include participating in industry trade association meetings; and preparing or assisting in the preparation of comment letters on proposed regulatory changes.

The candidate should have active State Bar membership. Should have 8+ years of experience as a practicing attorney; or 6+ years of experience as a practicing attorney and 2+ years of experience in one or a combination of the following areas: risk, compliance, contracts, government/regulatory, financial services, or technology. Prior in-house regulatory experience at a large financial firm or experience at a bank regulatory agency is preferred. Experience as a recognized expert in complex field(s) of law, providing expert legal services to senior management and significant groups in highly complex legal field(s) is desired. Extensive knowledge and understanding of research, counsel, and guidance on complex legal questions or inquiries is desired. Strong attention to detail and accuracy skills are preferred. Excellent verbal, written, and interpersonal communication skills are desired. Effective organizational, multi tasking, and prioritizing skills are preferred. Ability to analyze legal issues in substantive law in area of practice and provide effective advice to clients on complex legal matters is preferred. It is expected that candidates for the position will have substantial experience in providing the type of advice, counsel and client advocacy described above to regulated financial institutions and their most senior business, risk and compliance executives. Strong analytical and problem solving skills are preferred. Ability to evaluate impacts based on changes in laws/regulations and develop company response is preferred. Ability to manage multiple projects concurrently is desired. Ability to take an active role in the education, mentoring and training of less experienced team members is desired. Close Date 1/6/2019.
 
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This particular job is currently not active. However, since our clients regularly share with us similar and other job openings, we strongly recommend that you submit your resume. We shall review your resume and get in touch with you as soon as a suitable vacancy comes up to further discuss your interest in exploring the opportunity. Assisting you is our highest priority.

Please be assured that none of your materials will be forwarded to any employer without your consent. Of course, all inquiries are kept strictly confidential.
 
 

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