This global law firm is currently recruiting for an experienced Associate to its Regulatory & Investigations team, with flexibility to be based in any UK office. The role involves advising financial institutions and corporates on regulatory investigations, internal reviews, and compliance matters, including financial crime, market conduct, AML, governance, and enforcement risk.
You will assist on high-profile cases involving UK regulators (e.g. FCA, PRA, SFO) and contribute to cross-border work with colleagues across the firm’s global network. Responsibilities include managing investigations, providing advisory support, supervising juniors, and contributing to thought leadership and business development initiatives.
Applicants should have at least 2 years’ PQE with strong academic background, some experience in financial services investigations, competition, compliance, or white collar crime would be beneficial. Excellent drafting and communication skills, sound judgement, and a proactive approach are essential. Candidates with varying levels of PQE will be considered
The firm offers a collaborative international platform, strong career development support, and the chance to grow your practice in a market-leading team.
If this position could be of interest, please do not hesitate to contact either Cameron or Teddie for an initial and confidential discussion. (Assignment 17655)