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Private Equity Funds and Transactional Lawyer
Job in
London, Greater London, W1B, England, UK
Listed on 2026-09-04
Listing for:
Morgan Stanley
Full Time
position Listed on 2026-09-04
Job specializations:
-
Finance & Banking
Regulatory Compliance Specialist -
Law/Legal
Financial Law, Regulatory Compliance Specialist
Job Description & How to Apply Below
Location:
LondonJR
042449
The EMEA Legal and Compliance Department oversees the Firm's compliance with regulatory, transactional, and operational requirements across Morgan Stanley's businesses in the EMEA region, including Investment Management, Institutional Securities, Investment Banking, Research, and Wealth Management.
Morgan Stanley Investment Management (MSIM) is a global asset management business offering investment solutions across public and private markets. In EMEA, MSIM Private Markets manages real assets, private credit, private equity, and private equity solutions strategies, while MSIM Public Markets manages listed equities, fixed income, multi-asset, portfolio solutions, and money market strategies. MSIM operates a range of pooled investment vehicles, including UCITS and AIF structures domiciled in Luxembourg, Ireland, and the UK.MSIM
Private Markets' investor base primarily includes sovereign wealth funds, pension funds, government entities, and other institutional investors.
Morgan Stanley is a leading global financial services firm providing investment banking, securities, investment management, and wealth management services. With offices in more than 40 countries, the Firm serves corporations, governments, institutions, and individuals worldwide.
We are seeking a qualified lawyer to join the EMEA Legal and Compliance team supporting the MSIM Private Markets business. The role will focus primarily on providing legal coverage to the Real Assets platform, with opportunities to support broader MSIM initiatives, including regulatory and strategic the Legal & Compliance division, we assist the Firm in achieving its business objectives by facilitating and overseeing the Firm’s management of legal, regulatory and franchise risk.
Since 1935, Morgan Stanley is known as a global leader in financial services, always evolving and innovating to better serve our clients and our communities in more than 40 countries around the world
What you'll do in the role:
Lead legal coverage for real estate and infrastructure transactions, including private M&A, public takeovers, restructurings, refinancings, and joint ventures.
Serve as a primary legal adviser to portfolio management and transaction teams on asset management matters across the real estate and infrastructure sectors.
Advise on a broad range of issues affecting portfolio investments, including sector-specific regulation, financing, tax structuring, financial crime considerations, governance, and dispute resolution.
Support the structuring and launch of private market investment products, including private equity funds, closed-ended vehicles, hybrid structures, and bespoke solutions.
Advise on fund distribution activities and support the onboarding of new investors.
Provide day-to-day legal support for the operation and maintenance of investment funds, including advising on legal and regulatory matters relating to service providers such as administrators and depositaries.
Assess the impact of new legal and regulatory developments on the business and advise on implementation and structural change initiatives across the investment management platform.
What you'll bring to the role:
Expertise in a combination (but not necessarily all) of the following areas are desirable:
A working knowledge or prior experience of representing private investment funds and companies in M&A control-transactions, as well as take-privates, minority investments and joint ventures;
Experience in real estate and/or infrastructure investments;
A working knowledge of funds in general and fund governance (including AIFMD);
Experience in advising on complex commercial contracts with clients, distributors, intermediaries or other agents within the asset management sector and knowledge of investment management agreements;
Affinity with financial services regulation (including understanding of current regulatory framework affecting trading and investments (e.g., MIFID, AIFMD, SFDR) and US regulation (such as the Volcker Rule);
At least 6 years PQE in a US or UK major law firm and/or in-house at a buy-side regulated financial institution or…
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