Investment Funds Associate; 2nd to 6th year
Listed on 2026-01-20
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Law/Legal
Financial Law, Regulatory Compliance Specialist -
Finance & Banking
Regulatory Compliance Specialist
Location: New York
Overview
Our client is a full-service commercial firm that operates at the intersection of public policy, business and the law. They have developed to be one of the world’s largest US law firms and have 500+ internationally located lawyers. They’re offering an exceptional opportunity to join their highly regarded Investment Management team in New York for a candidate with strong GP and LP side representation knowledge.
The team have over 40 years of experience in the private funds industry and are known for providing stellar advice regarding the regulatory impacts on investment following global policy changes. This is a fantastic opportunity for a junior to mid-level Associate (2nd to 6th years) who is interested in joining a highly regarded practice and work on interesting transactions.
- Support the Investment Management team in New York on private funds transactions and related regulatory matters.
- Work with open-end and close-end fund formation as part of the fund formation practice.
- Provide support with GP and LP side representations where applicable.
- Contribute to advisory work regarding regulatory impacts on investment following global policy changes.
- 2nd to 6th year associate.
- Experience with GP and LP side representations.
- Experience with open-end and close-end fund formation is encouraged.
- Strong interest in joining a highly regarded Investment Management practice in New York.
Please contact Naika Quinones if you’re interested in finding out more about the above and the other opportunities we have at Sartre Group. Alternatively, please apply through our website.
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