ASSOCIATE ATTORNEY | Insurance Transactional & Regulatory Practice
POSITION OVERVIEW
A prestigious AmLaw 100 firm is looking for a mid-level Associate to join its Insurance Transactional & Regulatory group in either Chicago or New York. This role is a strong fit for attorneys with a background in fund formation, investment management, or broker-dealer regulatory work who want to expand into a rapidly developing segment of the financial services sector. The practice advises sophisticated, high-profile clients navigating complex regulatory and transactional matters.
IDEAL CANDIDATE PROFILE
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JD from a top law school with excellent grades.
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Active bar membership in the relevant jurisdiction or the ability to waive in.
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4–7 years of hands-on experience in fund formation, asset management, and/or broker-dealer regulatory issues.
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Familiarity with insurance regulatory frameworks, compliance matters, and corporate transactional work is strongly preferred.
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Background representing insurance carriers, financial institutions, or other regulated organizations is highly advantageous.
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Core competencies: exceptional writing, analytical reasoning, communication, negotiation, and advocacy skills.
PRIMARY RESPONSIBILITIES
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Provide counsel to insurance companies, reinsurers, brokers, and other financial institutions on regulatory requirements, corporate governance, and strategic business transactions.
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Assist with and manage complex deals, including M&A transactions, restructurings, and market-entry projects.
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Review, interpret, and apply regulatory standards governing the insurance and broader financial services sectors.
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Work collaboratively with attorneys in other practice groups to deliver cohesive and business-oriented legal advice.
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Interact directly with clients and regulatory bodies to provide high-level, commercially driven guidance.
