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In House Legal Job Listings

YOUR WINDOW TO A WORLD OF OPPORTUNITIES
 
Welcome to the job listings section of General Counsel Consulting. We are constantly updating our jobs seven days a week. As a firm dedicated to in-house search and placement, our ability to forge strong relationships with top-rated companies around the world allows us to offer our candidates a breadth of opportunities we believe is unrivaled.
 
We are pleased that your assessment of options has led you to General Counsel Consulting, and we invite you to browse our website to learn more about our firm and the career opportunities we offer. If you would like to be considered for an in-house attorney position, feel free to submit your resume.
 
If you are an employer looking to hire an in-house counsel, please click here to contact us and submit your opening.
 
 

Corporate Counsel Trade Compliance & Regulatory Affairs

Bloomington MN Corporate Counsel Trade Compliance & Regulatory Affairs Duties: Be responsible for advising on export and import compliance, trade sanctions, licensing, disclosures, customs, and compliance audits, as well as on other regulatory compliance matters. Advise on export and import compliance matters related to U.S. and international trade regimes and serve as the primary point of contact for related compliance questions. Collaborate with cross-functional teams and subject matter experts globally, including the International Trade Administration and Government Relations teams, on internal trade compliance programs and initiatives, including developing and improving policies, processes and training. Conduct analysis of trade laws and regulations applicable to company, and prepare internal reports regarding the policy landscape, as well as the impact to business strategy. Research and stay abreast of emerging trade compliance topics. Participate in relevant trade compliance associations. Undertake special projects and support other compliance program initiatives.

Qualifications: Excellent analytical, communication and writing skills. Ability and willingness to collaborate across teams and cultures. Ability to function as a trusted advisor, creative problem-solver and strategic thinker. Enthusiastic self-starter with the ability to influence at all levels within the organization. Highly organized with a commitment to high quality processes and deliverables. Experience or strong interest in expanding your practice to include compliance matters other than trade compliance. Interested in learning new substantive areas of law. Legal experience with U.S. and international trade regulations in a law firm or in-house experience at a multinational corporation or a combination of both. Demonstrated experience with compliance program management, including creation/revision of compliance documentation, and successful implementation of policies, processes and training programs. Should have J.D. degree and admission to at least one U.S. state bar.
Legal 0 - 0 Full-time 2020-08-13

Global Compliance Counsel

Eden Prairie MN Global Compliance Counsel Responsibilities: Responsible for framework of compliance and ethics programs globally. Provides compliance support for on-going Board of Director meetings. Identifies and mitigates compliance and ethics risks. Develops, implements, manages and continuously improves internal controls designed to promote compliance with law and company policy. Monitors legal and regulatory developments, assessing potential impact for global stakeholders, supporting and advising on implementation strategies. Develops live and online compliance training and communications; provides training as needed. Point of contact and key advisor for leaders globally regarding ethics and compliance matters. Manages third party due diligence program. Manages and responds to all issues raised through the hotline. Leads internal investigations of potential violations law or company policy; requires ability to balance multiple priorities based on legal risk to Company. Partners with internal business clients in preparing/drafting reports related to various compliance filing requirements. Effectively manages other compliance professional(s). Travel domestically and internationally as needed. Other duties as assigned.

Qualifications: Juris Doctor degree required. 5-10 years experience supporting an in-house compliance function, preferably reporting to legal. Corporate experience is required. Public company experience preferred. Government/regulatory experience a plus. Industry recognized certification from organizations such as SCCE (CCEP designation) or IAPP (CIPP designation) preferred. Experience handling regulatory and/or litigated compliance matters, with a preference for someone who has also overseen such matters internationally. Experience handling privacy matters domestically and internationally. Experience selecting, supervising, and managing outside counsel is strongly preferred. Experience managing other compliance professionals is preferred. Hands-on substantive experience in developing and maintaining a robust compliance program, including conducting and directing investigations of potential violations of law and policy; strong substantive knowledge of fraud investigations and corporate internal investigations.
Legal 5 - 10 Full-time 2020-08-10

Compliance Attorney, Winslow Capital

Minneapolis MN Compliance Attorney Responsibilities: Responsible for the preparation and filing of various regulatory reports and disclosures. Responsible for the review of marketing materials. Responsible for certain aspects of the Winslow compliance monitoring and testing program. Assist the CCO/GC with the preparation of fund client SAI and prospectus disclosures. Assist the CCO/GC with various Winslow legal matters. Assist the CCO/GC in the preparation and review of investment company contract renewal documents (15(c) responses). Assist the CCO/GC with analyzing and interpreting new compliance regulations and standards. Assist the CCO/GC in the development and maintenance of compliance policies and procedures. Assist the CCO/GC with coordinating regulatory examinations and client due diligence reviews. Assist the CCO/GC with the preparation of client compliance-related reports and certifications. Assist the CCO/GC in the preparation of compliance-related training materials and present on compliance-related subjects. Assist the CCO/GC in conducting Rule 206(4)-7 annual reviews.

Requirements: Bachelor's Degree from an accredited college or university and a JD from an accredited law school. Minimum of 3 years of experience working in the financial services industry, preferably in an investment advisory firm. Understanding of the Investment Advisers Act of 1940 and other relevant federal and state rules and regulations. Desired: Knowledge related to private fund regulations, the Global Investment Performance Standards, non-U.S. laws, and privacy laws are considered a plus. Strong interpersonal skills for interacting with senior management, clients, consultants and regulators. Excellent written and verbal communication skills with the ability to distill, organize, and communicate information and ideas in a clear and concise fashion. Excellent organizational and logic skills. Ability to multi-task and perform on deadline. Proficiency in MS Word, Excel, and other Microsoft Office applications.
Legal 3 - 0 Full-time 2020-07-24

Compliance Attorney, Winslow Capital

Minneapolis MN Compliance Attorney, Winslow Capital The candidate will assist the Chief Compliance Officer / General Counsel ( CCO/GC ) with administering Winslow Capital's investment adviser compliance program, ensuring that Winslow exercises due diligence and sound internal controls to operate with integrity and protect against legal risk. Responsible for the preparation and filing of various regulatory reports and disclosures. Responsible for the review of marketing materials. Responsible for certain aspects of the Winslow compliance monitoring and testing program. Assist the CCO/GC with the preparation of fund client SAI and prospectus disclosures. Assist the CCO/GC with various Winslow legal matters. Assist the CCO/GC in the preparation and review of investment company contract renewal documents (15(c) responses). Assist the CCO/GC with analyzing and interpreting new compliance regulations and standards. Assist the CCO/GC in the development and maintenance of compliance policies and procedures. Assist the CCO/GC with coordinating regulatory examinations and client due diligence reviews. Assist the CCO/GC with the preparation of client compliance-related reports and certifications. Assist the CCO/GC in the preparation of compliance-related training materials and present on compliance-related subjects. Assist the CCO/GC in conducting Rule 206(4)-7 annual reviews. Bachelor's Degree from an accredited college or university and a JD from an accredited law school are required. Minimum of 3 years of experience working in the financial services industry, preferably in an investment advisory firm are required. Understanding of the Investment Advisers Act of 1940 and other relevant federal and state rules and regulations are required. Knowledge related to private fund regulations, the Global Investment Performance Standards, non-U.S. laws, and privacy laws are considered a plus. Strong interpersonal skills for interacting with senior management, clients, consultants and regulators. Excellent written and verbal communication skills with the ability to distill, organize, and communicate information and ideas in a clear and concise fashion. Excellent organizational and logic skills. Ability to multi-task and perform on deadline. Proficiency in MS Word, Excel, and other Microsoft Office applications. Legal 1 - 0 Full-time 2020-07-23
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1
 
Corporate Counsel Trade Compliance & Regulatory Affairs
Refer job# OFVL151222
 
Corporate Counsel Trade Compliance & Regulatory Affairs Duties: Be responsible for advising on export and import compliance, trade sanctions, licensing, disclosures, customs, and compliance audits, as well as on other regulatory compliance matters. Advise on export and import compliance matters related to U.S. and international trade regimes and serve as the primary point of contact for related compliance questions. Collaborate with cross-functional teams and subject matter experts globally, including the International Trade Administration and Government Relations teams, on internal trade compliance programs and initiatives, including developing and improving policies, processes and training. Conduct analysis of trade laws and regulations applicable to company, and prepare internal reports regarding the policy landscape, as well as the impact to business strategy. Research and stay abreast of emerging trade compliance topics. Participate in relevant trade compliance associations. Undertake special projects and support other compliance program initiatives.

Qualifications: Excellent analytical, communication and writing skills. Ability and willingness to collaborate across teams and cultures. Ability to function as a trusted advisor, creative problem-solver and strategic thinker. Enthusiastic self-starter with the ability to influence at all levels within the organization. Highly organized with a commitment to high quality processes and deliverables. Experience or strong interest in expanding your practice to include compliance matters other than trade compliance. Interested in learning new substantive areas of law. Legal experience with U.S. and international trade regulations in a law firm or in-house experience at a multinational corporation or a combination of both. Demonstrated experience with compliance program management, including creation/revision of compliance documentation, and successful implementation of policies, processes and training programs. Should have J.D. degree and admission to at least one U.S. state bar.
 
EMAIL TO COLLEAGUE  PERMALINK
 
Global Compliance Counsel
Refer job# DIJS151115
 
Global Compliance Counsel Responsibilities: Responsible for framework of compliance and ethics programs globally. Provides compliance support for on-going Board of Director meetings. Identifies and mitigates compliance and ethics risks. Develops, implements, manages and continuously improves internal controls designed to promote compliance with law and company policy. Monitors legal and regulatory developments, assessing potential impact for global stakeholders, supporting and advising on implementation strategies. Develops live and online compliance training and communications; provides training as needed. Point of contact and key advisor for leaders globally regarding ethics and compliance matters. Manages third party due diligence program. Manages and responds to all issues raised through the hotline. Leads internal investigations of potential violations law or company policy; requires ability to balance multiple priorities based on legal risk to Company. Partners with internal business clients in preparing/drafting reports related to various compliance filing requirements. Effectively manages other compliance professional(s). Travel domestically and internationally as needed. Other duties as assigned.

Qualifications: Juris Doctor degree required. 5-10 years experience supporting an in-house compliance function, preferably reporting to legal. Corporate experience is required. Public company experience preferred. Government/regulatory experience a plus. Industry recognized certification from organizations such as SCCE (CCEP designation) or IAPP (CIPP designation) preferred. Experience handling regulatory and/or litigated compliance matters, with a preference for someone who has also overseen such matters internationally. Experience handling privacy matters domestically and internationally. Experience selecting, supervising, and managing outside counsel is strongly preferred. Experience managing other compliance professionals is preferred. Hands-on substantive experience in developing and maintaining a robust compliance program, including conducting and directing investigations of potential violations of law and policy; strong substantive knowledge of fraud investigations and corporate internal investigations.
 
EMAIL TO COLLEAGUE  PERMALINK
 
Compliance Attorney, Winslow Capital
Refer job# ZIDU150665
 
Compliance Attorney Responsibilities: Responsible for the preparation and filing of various regulatory reports and disclosures. Responsible for the review of marketing materials. Responsible for certain aspects of the Winslow compliance monitoring and testing program. Assist the CCO/GC with the preparation of fund client SAI and prospectus disclosures. Assist the CCO/GC with various Winslow legal matters. Assist the CCO/GC in the preparation and review of investment company contract renewal documents (15(c) responses). Assist the CCO/GC with analyzing and interpreting new compliance regulations and standards. Assist the CCO/GC in the development and maintenance of compliance policies and procedures. Assist the CCO/GC with coordinating regulatory examinations and client due diligence reviews. Assist the CCO/GC with the preparation of client compliance-related reports and certifications. Assist the CCO/GC in the preparation of compliance-related training materials and present on compliance-related subjects. Assist the CCO/GC in conducting Rule 206(4)-7 annual reviews.

Requirements: Bachelor's Degree from an accredited college or university and a JD from an accredited law school. Minimum of 3 years of experience working in the financial services industry, preferably in an investment advisory firm. Understanding of the Investment Advisers Act of 1940 and other relevant federal and state rules and regulations. Desired: Knowledge related to private fund regulations, the Global Investment Performance Standards, non-U.S. laws, and privacy laws are considered a plus. Strong interpersonal skills for interacting with senior management, clients, consultants and regulators. Excellent written and verbal communication skills with the ability to distill, organize, and communicate information and ideas in a clear and concise fashion. Excellent organizational and logic skills. Ability to multi-task and perform on deadline. Proficiency in MS Word, Excel, and other Microsoft Office applications.
 
EMAIL TO COLLEAGUE  PERMALINK
 
 
Compliance Attorney, Winslow Capital
Refer job# HKZU150601
 
Compliance Attorney, Winslow Capital The candidate will assist the Chief Compliance Officer / General Counsel ( CCO/GC ) with administering Winslow Capital's investment adviser compliance program, ensuring that Winslow exercises due diligence and sound internal controls to operate with integrity and protect against legal risk. Responsible for the preparation and filing of various regulatory reports and disclosures. Responsible for the review of marketing materials. Responsible for certain aspects of the Winslow compliance monitoring and testing program. Assist the CCO/GC with the preparation of fund client SAI and prospectus disclosures. Assist the CCO/GC with various Winslow legal matters. Assist the CCO/GC in the preparation and review of investment company contract renewal documents (15(c) responses). Assist the CCO/GC with analyzing and interpreting new compliance regulations and standards. Assist the CCO/GC in the development and maintenance of compliance policies and procedures. Assist the CCO/GC with coordinating regulatory examinations and client due diligence reviews. Assist the CCO/GC with the preparation of client compliance-related reports and certifications. Assist the CCO/GC in the preparation of compliance-related training materials and present on compliance-related subjects. Assist the CCO/GC in conducting Rule 206(4)-7 annual reviews. Bachelor's Degree from an accredited college or university and a JD from an accredited law school are required. Minimum of 3 years of experience working in the financial services industry, preferably in an investment advisory firm are required. Understanding of the Investment Advisers Act of 1940 and other relevant federal and state rules and regulations are required. Knowledge related to private fund regulations, the Global Investment Performance Standards, non-U.S. laws, and privacy laws are considered a plus. Strong interpersonal skills for interacting with senior management, clients, consultants and regulators. Excellent written and verbal communication skills with the ability to distill, organize, and communicate information and ideas in a clear and concise fashion. Excellent organizational and logic skills. Ability to multi-task and perform on deadline. Proficiency in MS Word, Excel, and other Microsoft Office applications.
 
EMAIL TO COLLEAGUE  PERMALINK
 
 

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