Financial Regulation Lawyer – Dublin
A superb opportunity has arisen for a Financial Services Regulatory Lawyer with our client an international law firm in Dublin.
This is an excellent opportunity to work in an internationally focused, professional organisation which places huge emphasis on continuous professional development, mentoring and career development within a collegiate team-based environment.
The Role
This role offers an outstanding opportunity to work on a broad range of matters representing top tier clients located in Ireland as well as globally. The team advise on a wide range of Irish and EU legal and regulatory issues, acting for domestic and international banks, investment firms, FinTechs, international payment/e-money institutions, asset managers, funds and fund promoters, and international law firms.
The Group advises on all areas of Irish and EU financial regulation and compliance, including MiFID II, PSD2, e-money, CRD, market abuse, anti-money laundering, financial institution M&A, the Central Bank of Ireland’s fitness and probity regime and domestic banking regulation, as well as data privacy. The team also provides cutting edge FinTech advise to clients on innovative business models and products based on their expertise in licencing, payments regulation, AML and data privacy.
The Person
The team are interested in meeting with qualified solicitors at all levels of post qualification experience, ideally with prior financial services regulation experience. Candidates with experience in private practice or in-house will be considered. Candidates who have prior experience in general finance or asset management will also be considered.
Interested applicants should contact Vicki Weinmann in strict confidence on +353 1 5313745 or submit your CV to [email protected]. Absolute discretion is assured