Private Practice

Financial Services Regulation Associate

Financial Services Regulation Associate

  • We are seeking to recruit a non-contentious financial services lawyer into the London office of our Insurance Regulation and Products Group. The ideal candidate would be a lawyer who is at least 5 years+ PQE at another law firm or the regulator.
  • Our current team of financial services regulatory lawyers provides regulatory advice to financial institutions and other businesses including banks, investment managers, building societies, life and non-life insurance companies, trading platforms, stockbrokers, corporate financiers, intermediaries (including networks), payment services firms, small investment banks, custodians, and pension houses.
  • Our team includes experienced partners, associates and trainees with in-depth experience of all aspects of financial services regulation. The team intends to continue to grow organically but as their business expands, they are seeking additional resource that would bring a fresh energy into the team.
  • You will have the ability to provide interpretation of the FCA and PRA's rules (including Conduct of Business, Supervision and Systems, Capital requirements and Controls rules).
  • You will have full comprehension of dealing with regulatory change, for example MiFID II and PSD 2, and the impact of Brexit.

Pinsent Masons LLP

Full service international law firm with offices across the UK, Europe, the Middle East, Africa and Asia.

Number of Lawyers: 1,900+

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