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Melinda Burrows
Deputy General Counsel
- Litigation and
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Energy Service Company
LLC
 

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Attorney Financial Regulatory Compliance
Refer job# JHIR143746
 
Attorney - Financial Regulatory Compliance The candidate will be responsible for providing legal advice and counsel within the incumbent's area(s) of legal expertise in support of Company or Staff Agency throughout the enterprise. Ensures the company's activities are conducted in compliance with the applicable legal framework and company's Risk Appetite. Responsible for foreseeing, mitigating, and managing legal risks. Relies on experience and judgment to plan and accomplish goals. May work with outside counsel to complete assignments. Applies advanced knowledge to mitigate legal, regulatory, compliance and litigation risk to company businesses. Engages and collaborates with other legal experts within the company and at times outside counsel. May work with outside counsel or contract professionals to complete assignments. Provides solutionoriented legal advice and counsel to internal clients to support business objectives. May assist more senior attorneys in providing advice and counsel on highly complex matters. Responsible for analyzing the application of laws and regulations and preparing recommendations and/or documents to support the organization. Applies advanced knowledge regarding relevant business, industry, and area of legal specialty. Handles complex negotiations, drafting and document creation, and matter resolution. Ensures escalation of matters presenting more significant risk to more senior attorneys. May assist more senior attorneys with the preparation of defense positions for highly complex litigation. Participates in and may lead crossfunction initiatives. Serves as a resource to less experienced team members. May provide research, factual information, counsel and guidance on legal questions or issues, in support of more senior attorneys. Performs all other tasks as assigned.

A Juris Doctor degree from an accredited law school required. Should have 4+ years legal experience. Must be admitted to the practice law in one state or a territory of the USA. Must be active member and in good standing of the bar in at least one state or territory, Knowledge of Microsoft Office Tools and applicable software is required. Experience with a federal and/or banking regulatory agency or prior law firm/ in-house counsel experience involving Federal and/or banking regulations is desired. Should preferably have Knowledge of and/or experience with regulations of financial institutions, including banks. Knowledge of functions related to the Chief Financial Office, including external reporting and accounting policy is preferred. Experience with conducting analysis of new and changing laws and regulations to determine applicability to the organization is desired. Proven experience working closely with stakeholders to assess impacted areas of laws and regulations and adherence thereto is desired. Should preferably have Prior experience with regulatory examinations or exam oversight, preferably Federal.
 
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