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Lead Counsel for Securities and Capital Markets
2 months ago
Position Overview
The Lead Counsel for Securities and Capital Markets will engage in a variety of legal and securities issues as part of the Office of the Secretary. The successful applicant will ideally have 5-10 years of experience in corporate securities, whether in private practice or within a publicly traded corporation, alongside a robust financial acumen. Candidates must demonstrate extensive knowledge of the '33 and '34 Acts as well as New York Stock Exchange regulations. Attention to detail and sound judgment are essential. The ideal candidate will possess strong communication skills, enabling effective interaction with clients across all organizational levels and external stakeholders, while also thriving in a fast-paced, independent work environment.
Key Responsibilities:
- Provide guidance on compliance with SEC regulations, NYSE listing standards, Sarbanes-Oxley requirements, and other corporate governance regulations.
- Review and prepare all necessary SEC and international securities filings, including proxy statements, Form 10-K, Form 10-Q, Form 8-K, Section 16, and Form 11-K.
- Advise on disclosure issues, including press releases, earnings reports, investor presentations, and other external communications.
- Assist with corporate secretarial duties, including the preparation and review of Board and Committee materials.
- Develop and periodically revise corporate governance policies and related documentation.
- Support the review and advisory process for ESG matters.
- Collaborate with the Director of Corporate Governance on investor outreach initiatives.
- Provide counsel for the Company's Annual Meeting of Shareowners.
- Monitor compliance with insider trading policies.
- Advise management on executive compensation and equity compensation plan matters.
- Maintain corporate records and manage subsidiary documentation.
- Stay updated on SEC and NYSE regulations.
- Support various departments, including Public Affairs, Human Resources, Investor Relations, and Treasury, on compliance-related issues.
- Work collaboratively with other specialists and internal legal teams on governance and compliance matters.
Qualifications:
Education: Juris Doctor degree with strong academic performance.
Relevant Experience:
- Minimum of 5 years of relevant experience in a major law firm or in-house legal department for a publicly traded company.
- Proven corporate securities experience in private practice or within a publicly traded organization.
- Strong financial expertise.
- Comprehensive knowledge of the '33 and '34 Acts and New York Stock Exchange regulations.
Functional Skills:
- Securities Governance and Compliance: Prepare filings to meet US securities laws and exchange regulations; provide advice to ensure compliance; interpret and monitor existing and proposed US securities legislation.
- Proxy Statement: Ensure compliance with corporate and director matters, including the preparation of the annual proxy statement and tracking SEC developments.
- Governance and Compliance: Foster an ethical culture and ensure adherence to compliance and governance standards.
- Participate in preparing internal Requests for Approvals as required by corporate governance documents.
Work Environment:
This position offers a hybrid work schedule, with three days in the office and two days working remotely.
Company Commitment:
- Iconic Brands: Our portfolio includes over 200 products featuring some of the most recognized brands globally.
- Diversity Commitment: We are dedicated to fostering diversity, inclusion, and belonging within our organization.
- Agile Work Culture: We embrace an agile approach, empowering our employees to innovate and solve complex challenges.
Skills Required:
10Q, Corporate Governance, Legal Practices, Policy Compliance, Proxy Statements, SEC Audits, Securities Finance, Securities Laws, U.S. SEC Filings.
Compensation Range:
$194,300 - $236,000