Investment Banking Compliance Analyst

Added
1 day ago
Location
Type
Full time
Salary
Salary not provided

Related skills

investment banking financial analysis compliance finra m&a

📋 Description

  • Review proposed investment banking engagements, engagement letters, compensation arrangements, and
  • Analyze private securities offerings and applicable Securities Act exemptions, with particular
  • Review M&A, secondary, and other private market transactions for relevant securities-law and
  • Evaluate M&A transactions under the federal M&A broker exemption framework and identify
  • Support compliance with FINRA private placement requirements, including Rules 5122 and 5123
  • Conduct risk-based due diligence on issuers, sponsors, control persons, and other relevant

🎯 Requirements

  • Bachelor’s degree or equivalent professional experience
  • 3+ years of relevant experience in broker-dealer compliance, investment banking, securities law
  • Working knowledge of private placements and exemptions from Securities Act registration
  • Familiarity with FINRA requirements relevant to private placements and investment banking activities
  • Ability to interpret complex transaction structures and review legal, financial, offering, and
  • Strong analytical skills, sound professional judgment, and genuine intellectual curiosity

🎁 Benefits

  • 100% remote work within the United States
  • Generous paid time off
  • Comprehensive benefits package
  • Paid family leave
  • Diverse and inclusive workplace culture
  • Opportunity to work directly on sophisticated investment banking and private market transactions
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