Contract Management: Review and analyse a variety of commercial contracts to protect the company's interests and ensure compliance with internal policies
Documentation: Draft, revise, and maintain client-facing agreements, terms of service, and disclosure documents
Policy Maintenance: Assist in the development, implementation, and upkeep of internal policies and procedures to ensure adherence to legal and regulatory requirements
Legal Research: Conduct thorough research on securities laws, anti-money laundering (AML) regulations, and other relevant legal frameworks to inform business decisions and risk management
External Liaison: Coordinate and communicate effectively with external solicitors, consultants, and other professional advisors on various legal and compliance matters
Requirements
Education: Bachelor of Laws (LL.B) or Juris Doctor (J.D.) degree from a recognized institution
Experience: Minimum of 3 years of relevant post-qualification working experience, preferably within a financial institution, investment firm, or a law firm servicing the financial industry
Knowledge: Solid understanding of corporate law, securities regulations, and AML compliance requirements
Skills: Excellent command of written and spoken English; strong analytical, drafting, and communication skills
Availability: Candidates who are immediately available or able to start on short notice will be given priority consideration