Position: Capital Markets Associate Attorney
Office: Washington, D.C. Office (location flexible)
Experience: 3-5 Years of Experience
The Washington, D.C. office of Morrison & Foerster has an immediate opening for a high-performing and team-oriented mid-level capital markets associate with three to five years of experience with respect to ’33 Act transactional, ’34 Act compliance and corporate governance matters. The ideal candidate will have had substantive experience with respect to (1) representing issuers, underwriters, agents and financial institutions with respect to public and private offerings of equity and/or debt securities and (2) advising public companies in connection with ‘34 Act reporting obligations, corporate governance and stock exchange listing requirements. Office location is flexible.
Morrison & Foerster Corporate Finance / Capital Markets Practice
Morrison & Foerster has a preeminent Corporate Finance / Capital Markets practice counseling and representing public companies, boards of directors and investment banks regarding securities transactions, regulatory matters, corporate governance and other issues unique to public companies. The firm represents newly public companies and small- and mid-cap companies as well as Fortune 500 companies. Our Corporate Finance attorneys also advise issuers and underwriters in a broad range of domestic and international private and public offerings. We serve as primary outside counsel to more than 100 public companies, many of them among the Fortune 500. Our practices and lawyers are ranked in the industry’s leading directories including Chambers Global, Chambers USA and Legal 500.
Washington, D.C. Corporate Group
The D.C. corporate team of Morrison & Foerster represents public and private companies in capital markets, M&A transactions, joint venture and other strategic investments, and represents numerous public company clients in connection with corporate, securities regulation and corporate governance matters. The D.C. corporate team is also home to one of the nation’s leading REIT practices, as well as serves as a destination for clients with regard to SEC counseling and compliance, with Dave Lynn, the former Chief Counsel of the SEC’s Division of Corporation Finance and one of the nation’s most highly regarded practitioners in the securities regulation Bar. The team works with some of the nation’s most innovative and highly recognized companies across a variety of sectors.