Who says the financial industry isn’t hiring? The industry must need attorneys to assist with regulation and compliance! Tell that to all of your MBA friends.
Aiding NYSE Liffe US and London with legal matters relating to these business units.
Assisting Chief Regulatory Officer of NYSE Liffe U.S. with regulatory compliance matters before the CFTC and NFA.
Managing regulatory and legal issues before regulatory bodies of SEC and CFTC on issues relating to exchange registration, clearing registration, product approval, foreign board of trade compliance, and registered entity corporate governance.
Analyzing regulatory/legislative changes that may impact the derivatives business.
Maintaining strong relations at CFTC and SEC and subject-matter expertise at these agencies.
Developing industry legal ties in order to maintain derivatives expertise.
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