A leading global law firm is seeking a highly qualified Investment Funds Regulatory Associate to join its Asset Management practice.
If you think you'd be a good fit, please send your resume to jobplacements@reliablestaffing.com
This position is ideal for an associate with at least three years of relevant asset management regulatory experience. The successful candidate will advise a broad range of clients—including investment advisers, family offices, and financial institutions—on complex regulatory, compliance, and transactional matters across the investment funds landscape.
The practice group provides comprehensive counsel on the formation, operation, and management of private equity funds, private credit funds, hedge funds, and real estate funds. Attorneys also work on sophisticated corporate transactions involving investment advisers and regularly handle SEC examinations, investigations, and enforcement proceedings in collaboration with litigation teams.

Send resume to jobplacements@reliablestaffing.com
- Strong knowledge of U.S. asset management regulatory frameworks
- Excellent analytical, drafting, and problem-solving skills
- Ability to manage complex regulatory matters and client relationships
- Strong written and verbal communication skills
- High attention to detail and organizational abilities
- Minimum of 3 years of relevant asset management regulatory experience
- Working knowledge of the Investment Advisers Act of 1940 and the Investment Company Act of 1940
- Experience with private equity and hedge fund formation preferred
- Familiarity with SEC examinations and enforcement processes is a plus
- Experience at a law firm or comparable legal environment preferred
- Strong academic credentials and professional background
- Juris Doctor (J.D.) from an accredited law school
- Active bar admission in the relevant jurisdiction (or eligibility to obtain admission)