Permanent. Financial Regulatory Lawyer
Job Reference: 237040
The Agency has partnered with a well-regarded international law firm in the Cayman Islands in recruiting for a 3-6 PQE Financial Regulatory Lawyer. The firm is recognised as one of the leading experts in the offshore category and has an enviable list of clients in Asia, America and Europe, including banks, investment funds, administrators, investment managers, advisers, broker-dealers, arrangers, trading venues and insurance and reinsurance sector clients.
The financial regulatory landscape in the Cayman Islands has seen substantial developments in recent years with more to come. The firm is building out a Regulatory practice to tackle the developing challenges and they are looking for a Regulatory lawyer with experience working in an international financial hub.
As the successful Financial Regulatory Lawyer, you will have a varied role, providing regulatory gap analysis and regulatory impact assessments to a range of financial regulatory applications and notifications as well as day-to-day financial regulatory compliance, including AML, ATF, FATCA, CRS, GDPR, Economic Substance, corporate governance etc.
As the successful candidate, you will receive in the range of US$150-200,000 bonus and other benefits.
Required experience and qualifications:
- Admission or eligibility to practice law in a commonwealth jurisdiction, namely the Cayman Islands, a UK jurisdiction, Australia, New Zealand or Canada;
- Around 3 to 6 years PQE with experience at a well-respected international law firm in an international financial centre;
- An excellent academic track record.
If you are interested, please apply or email email@example.com with a copy of your CV.