- Handling regulatory filings with SEC, FCA, and authorities in the Cayman Islands and Ireland.
- Negotiating standard form GMRA, GMSLA and ISDA off of rating agency approved templates.
- Drafting a variety of commercial contracts and agreements.
- Attending board meetings and drafting minutes.
- Monitoring and interpreting, new regulations to ensure compliance.
- Collaborating with external counsel to resolve legal matters effectively.
- Creating and managing an effective and centralised system for commercial contracts.
- Maintaining and updating compliance monitoring programmes and AML / sanctions policies and procedures for group and funds.
- Managing ad hoc NDA and consultancy agreements.
- Familiarity with regulatory filings and compliance requirements in multiple jurisdictions.
- Extensive experience with GMRAs, ISDAs, and NDAs.
- A proven track record of drafting and negotiating commercial contracts.
- Strong attention to detail and the ability to manage multiple priorities effectively.
- Excellent communication skills for liaising with board members, external counsel, and internal stakeholders.
- A competitive salary.
- Hybrid working arrangement (3 days in-office, 2 days remote).
- An outstanding work/life balance within a supportive and professional environment.
- The opportunity to be part of a small, extremely successful and collegiate company at the forefront of the securities finance industry.