Applications open until December 9, 2019.
The Division of Investment Management (IM) works to support the SEC in its mission to protect investors, maintain fair, orderly, and efficient markets, and facilitate capital formation. IM regulates investment companies, variable insurance products, and federally registered investment advisers. The Division of Investment Management’s Rulemaking Office, Investment Company Regulation Office is seeking to fill one Attorney-Adviser position in Washington, DC.
Qualifications
J.D. or LL.B. degree –AND–
SK-13: Applicant must have 2 year(s) of post J.D. work experience as a practicing attorney, 1 year(s) of which includes: providing legal interpretation of Federal securities laws, statutes, rules and regulations.
SK-14: Applicant must have 3 year(s) of post J.D. work experience as a practicing attorney, 2 year(s) of which includes: providing advice on issues and policies related to Federal securities laws, statutes, rules and regulations. Experience must include conducting reviews and analysis of the most complex issues to assure legal adequacy, sufficiency, soundness of action recommended or taken.
To Apply
To learn more about this employment opportunity and/or to apply online, please visit https://go.usa.gov/xpnfz
For assistance, please contact the Office of Minority and Women Inclusion at (202) 551-6046 or omwi@sec.gov.