Job Description
Regulatory Disputes & Investigations Lawyer
A leading UK law firm is looking to grow its Regulatory & Investigations team with the hire of a talented Lawyer (ideally 3-7 PQE) in Edinburgh or Glasgow. This is a standout opportunity for a Lawyer seeking exposure to high-profile, sensitive matters with real career progression on offer.
The Opportunity:
You will join a dynamic team advising financial institutions and corporates on a wide range of regulatory and white-collar issues – from internal investigations to regulatory enforcement. The team works across multiple sectors, including finance, energy and media, often handling cross-border matters in collaboration with international offices.
Key Responsibilities:
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* Leading and supporting internal investigations into regulatory or financial misconduct
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* Advising on compliance and enforcement risks, including market conduct, AML, bribery and governance
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* Acting for clients in relation to UK regulatory and enforcement bodies (FCA, PRA, SFO, FRC)
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* Collaborating closely with colleagues across disputes, financial services and risk teams
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* Supporting client engagement and contributing to thought leadership and business development
Your Profile:
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* UK-qualified Solicitor with 3-7 years’ PQE in regulatory disputes, financial crime, or investigations
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* Experience in regulatory investigations or enforcement actions
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* Strong technical, communication and analytical skills
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* Confident managing workload independently and within a close-knit team
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* A commercial and pragmatic approach to client service
Why Apply?
This is a rare chance to join a highly regarded firm offering flexible working, top-tier work and a supportive team culture. The role offers a strong platform for career development and the opportunity to make a tangible impact on complex, high-value matters.