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Associate General Counsel-Derivatives​/Hedge Funds

Job in New York, New York County, New York, 10261, USA
Listing for: The PeterSan Group and PeterSan Legal Staffing
Full Time position
Listed on 2026-09-25
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Banking & Finance
  • Law/Legal
    Financial Law, Regulatory Compliance Specialist, Banking & Finance
Salary/Wage Range or Industry Benchmark: 250000 - 350000 USD Yearly USD 250000.00 350000.00 YEAR
Job Description & How to Apply Below
Position: Associate General Counsel-Derivatives/ Hedge Funds
Location: New York

Our client, a leading leading investment firm headquartered in the NY metro area, is seeking an experienced attorney who will serve as the lead legal advisor supporting the firm's global trading, treasury, financing, and capital markets activities. This role will provide strategic legal and regulatory advice on sophisticated trading transactions, negotiate complex financial market documentation, partner closely with investment professionals and business leaders on new business initiatives, and help shape legal strategy across the firm's global trading platform.

Responsibilities

for this role include the following:
  • Serve as the primary legal advisor for the firm's trading, treasury, financing, and capital markets activities.
  • Draft, review, and negotiate complex trading documentation, including ISDA Master Agreements, Credit Support Annexes (including regulatory VM and IM CSAs), futures account agreements, give-up agreements, clearing agreements, repurchase agreements, securities lending agreements, and related trading documentation.
  • Provide legal and transactional advice regarding equities, equity finance, futures, OTC derivatives, securities financing transactions, and other transactions involving equities and equity indices.
  • Advise trading, treasury, operations, and other business partners on issues arising from trading documentation, prime brokerage arrangements, financing transactions, and other complex transaction structures.
  • Partner closely with investment, treasury, risk, tax, operations, finance, and technology teams.
Applicants must have the following requirements in order to be considered:
  • Fifteen to twenty years of legal experience, including significant experience at a leading law firm and/or in-house with a financial institution, investment manager, hedge fund, broker-dealer, or similar organization.
  • Deep experience advising on equities trading, equity derivatives, securities financing transactions, prime brokerage arrangements, futures, and related regulatory matters.
  • Strong knowledge of ISDA documentation, including Master Agreements, Credit Support Annexes, and Equity Definitions.
  • Experience negotiating and advising on prime brokerage, securities lending, repurchase transactions, futures, and cleared OTC derivatives.
  • Strong understanding of applicable U.S. securities laws and regulations, including the Securities Act, Exchange Act, FINRA, CFTC, SEC, broker-dealer regulations, margin requirements, and Dodd-Frank Title VII.
Position Requirements
10+ Years work experience
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