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Senior Counsel, Corporate & Securities
Refer job# RVTO153055
 
Senior Counsel, Corporate & Securities The candidate will ensure compliance with securities laws, rules and regulations. Prepare and file Forms 8-K, 10-Q and 10-K, registration statements, proxy statements and all related filings. Lead preparation for the annual shareholders meeting. Maintain governance policies and practices, including corporate governance guidelines, committee charters and other governing documents; maintain the company's NASDAQ Board documentation. Advise members of senior management regarding securities and corporate governance activities. Review, advise and assist with filing/publishing quarterly earnings releases, investor presentations, quarterly and annual reports and other public communications. Advise on all executive compensation activities, maintain and update form equity award agreements and oversee section 16 officer filings and related-activities. Draft, negotiate or review non-disclosure agreements, asset and stock purchase/sale agreements, joint venture and partnership agreements and other strategic partnership-related documents. Oversee and coordinate due diligence activities. Provide risk-aware, actionable legal advice on M&A projects and initiatives. Coordinate and complete M&A-related filings (SEC, Nasdaq, HSR) and respond to relevant inquiries (FINRA). Collaborate with and provide support to other members of the legal team. Manage work of outside counsel and efficient and cost-effective support. Support the continuous improvement of legal processes to promote efficiency. Contribute positively to the culture of the legal team and the company as a whole. Due to the dynamic nature of the industry, the scope of your job may evolve and change by business demands.

The candidate should have Law Degree top tier U.S. law school. Should have 5-10 years of experience working in a top tier law firm and/or in-house legal department. Substantial experience managing securities, corporate governance and corporate finance matters at a large law firm or global public corporation. Deep familiarity and experience with SEC/Nasdaq rules and filings, FINRA, HSR and other M&A-related rules and regulations. Experience in supervising and coordinating outside legal counsel and other advisors. Experience and knowledge in risk management and evaluation. Prior experience providing legal counsel directly to business clients. Exceptional communicator with proven ability to facilitate discussions and issue resolution among key business leaders. Strong quantitative and qualitative analytic skills. Strong business acumen with a strong understanding of financial metrics and P&L fundamentals. Excited to work in a fast paced and intellectually challenging environment. Excellent analytical and organizational skills. Ability to work independently with minimal supervision. Ability to manage multiple projects at once, to synthesize information from multiple sources, and to follow through and meet deadlines. Have exceptional judgment with the ability to cope with competing priorities. Exceptional written and oral communication skills, including ability to brief and communicate complex issues in a succinct manner. Focused on pragmatic business advice and solutions. Professional and collaborative with the ability to build and maintain trusted relationships with stakeholders.
 
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