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Associate General Counsel I - Corporate/securities Attorney
Refer job# EWPP164495
 
Associate General Counsel I - Corporate/Securities Attorney Duties: Review of quarterly earnings materials and investor conference presentations, including regular review of peer disclosures for best practices. Review of Form 10-K and 10-Q reports and other periodic disclosures pursuant to the securities laws. Conduct regular review of peer firm filings for recent disclosure trends. Review of corporate social responsibility report and other ESG disclosures. Assist with preparation of proxy statement for annual meeting of shareholders. Assist in preparing agendas, presentations, resolutions and other materials for Board and Board committee meetings and taking minutes of meetings. Assist with managing insider trading program, including preparation of quarterly notices to insiders, clearing trades for directors and executives and Form 4 review. Assist in the preparation of registration statements, prospectuses, offering circulars and legal due diligence materials for debt and preferred stock offerings by Bank and review closing documentation related to such offerings. Assist in annual review of corporate policies managed by the Corporate Legal Team. Assist with Disclosure Committee meetings for review of Form 10-K and 10-Q filings and other regulatory and ESG disclosures. Conduct reviews of peer corporate governance materials to determine best practices and recent trends. Review statutes, regulations and NYSE rules for potential changes to annual Director and Officer questionnaires. Provide research and analysis of legal issues relating to entity management. Participate in annual shareholder engagement program. Support internal clients by providing regular legal updates on new developments that may impact their areas and offering suggestions on how the Corporate Legal Team can assist.

Qualifications: JD Degree from an accredited law school, excellent academic credentials and current member in good standing with North Carolina, Georgia or other state Bar. 3-5 years securities and corporate law experience in large law firm environment, corporate legal department or the SEC. Well-organized self-starter able to handle multiple projects simultaneously and meet deadlines. Capable of working independently with little supervision. Strong analytical skills and ability to balance business needs with legal risks. Ability to effectively communicate ideas and strategies with senior executives. Excellent verbal and written communication skills with particular emphasis on drafting abilities with respect to securities law disclosures.
 
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