U.s. Bank Senior Corporate Counsel Counsel Jobs in District_of_Columbia - 157665 | Submit Resume | General Counsel Consulting
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U.s. Bank Senior Corporate Counsel
Refer job# WHOL157665
U.S. Bank Senior Corporate Counsel - Fixed Income Capital Markets The candidate will consistently provide excellent advice and guidance on a variety of legal matters. Build trusting relationships that allow the business to make well-informed decisions. Will provide transactional and regulatory legal advice primarily to the Credit Fixed Income (CFI) unit, which is focused on corporate bond underwriting and secondary market trading and acts through U.S. Bancorp Investments, Inc., a registered broker-dealer. Also provide guidance to other business units, potentially including Debt Private Placements and the Asset Backed Securitization Group, among others. Review underwriting agreements, offering documents and related documentation for registered and 144A corporate bond offerings. Advise business units and other support partners (Compliance, Risk Management, etc.) regarding securities laws and regulations, FINRA Rules and related risks. Stay abreast of relevant market, legal and regulatory developments. Assist in training business units regarding legal risks and regulatory changes. Become familiar with relevant U.S. Bank policies and procedures, ranging from AML/KYC matters to onboarding foreign investors. Work closely with business lines and support partners to ensure continuous compliance with laws, regulations and policies. Review international securities laws and broker-dealer regulations. Review agreements with third-party providers of technology and other services. Review agreements with institutional investor clients. Review documentation for private placements. Review securities repo and securities lending agreements. Review underwriting agreements, offering documents and related documentation for asset-backed securities offerings. Review transaction documentation for asset-backed warehouse lending facilities. Participate in trade group (primarily SIFMA) working groups on relevant matters.

The candidate Should have Law degree. Should be licensed in good standing to practice law in at least one jurisdiction. Must have 4+ years of experience as an attorney in a law firm supporting corporate issuers and/or underwriters, and/or as in-house counsel at a financial institution or regulatory agency. Significant experience with registered and 144A securities offerings is required. Should preferably have knowledge of securities laws and regulations (primarily 33 and 34 Acts). Knowledge of broker-dealer laws and regulations is desired. Should preferably have experience with ABS transactions. Preferably, experience with commercial lending and other corporate finance transactions and markets. Ideally, knowledge of bank regulatory laws and regulations. Must have strong written, verbal, and interpersonal communication skills.

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