A rare opportunity for a high calibre mid to senior Financial Services Regulatory lawyer with 6 - 12 years' PQE to join the Singapore/Hong Kong office of one of the most highly-regarded offshore firms. The team advises on all aspects of offshore regulatory matters impacting asset managers, investment funds (both open and closed-ended), banks, administrators, family offices and high net worth individuals, including FATCA, CRS, the Securities Investment Business Law, DAC6 / MDR, anti-money laundering and terrorist financing, Economic Substance, cross-border conduct of business advice and the OECD Country-by-Country Reporting regime.
You will also be involved in helping to develop the FS Regulatory practice in Asia, with a specific focus on Singapore/Hong Kong, as part of the wider growth strategy for the global practice. You will need to have gained at least some of your experience at a leading national, international or offshore law firm. In addition, you will need to be admitted in either the UK, Australia, New Zealand or Canada.
Please note that we are only able to respond to applicants who satisfy the criteria set out in the job spec above and whom we believe will be of interest to our clients.