Attorney - Corporate M&A Transactions and Global Strategic and Sustainable Investments
$175k - $259.7kNACBA
Job Description
This position provides legal counsel on Corporate M&A and Global Strategic and Sustainable Investments (GSSI) across all transactions—including purchases, investments, sales, and wind‑downs—within the Global Banking and Global Markets businesses.
Responsibilities
- Analyze legal issues and implications on products, services, and regulatory matters related to the Global Banking and Global Markets businesses.
- Communicate clear, concise, actionable, and business‑informed legal advice, including to leadership.
- Interpret rulings, laws, and regulations from a compliance and business control standpoint.
- Draft, review, and negotiate complex legal documents such as engagement letters, debt agreements, offering documents, and legal opinions.
- Gather, assess, and evaluate information from various sources to make judgments or inferences.
- Support Corporate M&A and GSSI in company responses to government agency examinations, investigations, enforcement actions, private complaints, and litigation.
- Direct the work of outside legal counsel and coordinate other Legal staff and subject‑matter experts (IP/GIS, bank regulatory, HR, tax), while training and mentoring peers.
Required Qualifications
- Minimum of 7 years of experience as a practicing corporate and transactional attorney.
- Active license to practice law in at least one state or the District of Columbia.
- Extensive experience advising corporations on the structuring and documentation of complex transactions.
- Self‑starter capable of operating with limited oversight and interacting confidently with senior management.
- Experience advising on Corporate M&A, private equity, strategic investments, consortium transactions, or third‑party investment funds.
- Ability to address a diverse set of legal subject matters.
- Highly developed oral and written communication skills.
- Ability to work in a fast‑paced, demanding, and collaborative environment with many stakeholders.
- Confidence in risk‑managed decision making and judgment.
Desired Qualifications
- Substantial experience with a nationally‑recognized law firm or in‑house representing a significant financial institution.
- Familiarity with bank regulations such as Volcker issues, the Federal Reserve Control Rule, Regulation W, and related regulatory authority.
- Experience advising senior management or boards on corporate governance issues relating to Corporate M&A transactions and investments.
- Experience advising clients on complex M&A and investment matters.
Skills
- Advisory
- Influence
- Interpret relevant laws, rules, and regulations
- Policies, procedures, and guidelines
- Risk management
- Critical thinking
- Decision making
- Issue management
- Legal drafting and writing
- Regulatory compliance
- Attention to detail
- Collaboration
- Executive presence
- Legal structures and legal forms
- Problem solving
- Presentation skills
- Written and oral communication
- Corporate governance management
- Stakeholder management
Minimum Education Requirement
Doctorate degree in a related field.
Shift
1st shift (United States of America).
Hours Per Week
40
Pay
Annualized salary: $175,000.00 – $259,700.00, offers based on experience, education, and skill set.
Discretionary incentive eligible: eligible to participate in the annual discretionary plan based on performance and contributions.
Benefits
Industry‑leading benefits, paid time off, and resources to support employees and the sustainable growth of the business and communities.
#J-18808-Ljbffr$175k - $259.7k
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