SSgA Counsel, VP
Our Company
State Street Corporation (NYSE: STT) is the world's leading provider of financial services to institutional investors including investment servicing, investment management and investment research and trading. With $24.37 trillion in assets under custody and administration and $2.09 trillion in assets under management at December 31, 2012, State Street operates in 29 countries and more than 100 geographic markets and employs 29,660 worldwide. For more information, visit State Street's website at www.statestreet.com.
Promoting a culture of excellence
With more than 29,660 employees across 29 countries, at State Street, our people are our greatest asset. We recognize that highly skilled, engaged and productive employees are essential to our success. Our company values reflect our commitment to employee engagement, Global Inclusion and corporate social responsibility -- to help you build a fulfilling career. Around the world, we aim to be an employer of choice by offering competitive compensation and benefits, personal and professional development opportunities, and a work environment that promotes a diverse array of people, ideas and skills.
We're a company that insists on, and rewards, performance excellence. We know our success hinges on attracting the best people to join us -- people like you.
We encourage you to explore the possibilities that a career at State Street can offer you.
Street is an Affirmative Action/Equal Opportunity Employer. Applicants are considered for all positions without regard to race, color, religion, national origin, ancestry, ethnicity, age, disability, sexual orientation, gender, gender identity, citizenship, marital status, domestic partnership or civil union status, familial status, military and veteran status or other characteristics protected by applicable law.
An exciting opportunity for an investment management attorney to focus on the legal servicing needs of a major asset management organization.
- Interacting with senior investment, product management, compliance, distribution and marketing professionals on a variety of matters pertaining to the development and operation of registered investment companies.
- Review of agreements relating to registered investment companies, including investment advisory agreements, distribution agreements and servicing agreements.
- Advising on general corporate matters, including contract review, review of confidentiality agreements and licensing arrangements.
Registered investment company regulatory compliance responsibilities, such as updating registration statements, review of advertising materials, and preparation of proxy materials.
- Superior academic record.
- JD, 3-5 years of experience with a strong understanding of issues relevant to investment companies.
- Thorough knowledge of and experience with the federal securities laws, including Securities Act of 1933, Securities Exchange Act of 1934, the Investment Advisers Act of 1940 and the Investment Company Act of 1940.
The ideal candidate will have relevant in-house or law firm experience, coupled with excellent communication and organizational skills.
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