Junior Attorney

SCS Financial

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profile Job Location:

Boston, NH - USA

profile Monthly Salary: $ 125000 - 150000
Posted on: Yesterday
Vacancies: 1 Vacancy

Job Summary

Position Summary

We are looking for a Junior Attorney with approximately 2 years of post-bar admission experience in financial services with a focus on private funds to join our Legal Team. This role will provide legal support across SCSs private funds business including regulatory compliance investment opportunities operations and transactional documentation. You will work closely with business partners (advisors investments operations compliance and risk) and outside and corporate counsel to help drive business initiatives manage risk and ensure compliance with applicable laws and regulations.

Focus provides team members the flexibility to work a hybrid schedule. Our hybrid model is defined as 3 days in office work required per week while giving team members the option to work remotely 2 days per week or as assigned by their team leader.

Primary Responsibilities

  • Serve as the lead legal representative in supporting SCS private funds business which includes but is not limited to reviewing a variety of fund documents non-disclosure agreements and investment agreements relating to external investment managers.
  • Participate in special projects such as launching new private funds secondary sale transactions or other business initiatives.
  • Coordinate and manage outside counsel on discrete matters or projects.
  • Support the development and implementation of compliance programs and internal policies working cross-functionally with Compliance Risk Investment and Operations teams.
  • Assist in preparing marketing disclosures and regulatory filings as needed.
  • Work proactively to identify risks and propose solutions aligned with business goals

Qualifications

  • J.D. from an accredited law school and admitted to practice for approximately 2 years.
  • Relevant experience in financial services ideally within private funds practice investment advisory or asset management environments.
  • Strong understanding of U.S. securities laws and regulatory frameworks (Investment Advisers Act SEC FINRA).
  • Proven ability to review legal agreements and provide practical business-oriented legal guidance.
  • Excellent research writing and analytical skills with strong attention to detail.
  • Ability to manage multiple projects prioritize effectively and operate in a fast-paced highly regulated environment.
  • Strong interpersonal and communication skills with the ability to partner across legal compliance operations and business teams.
  • High integrity sound judgment and discretion when handling sensitive information.
  • Strong working knowledge of alternative investment structures fund documentation and fund formation.

This position is an exempt position. The annualized base pay range for this role is expected to be between $125000-$150000 base salary compensation range. Actual base pay may vary based on factors including but not limited to experience subject matter expertise geographic location where work will be performed and the applicants skill set. The base pay is just one component of the total compensation package. Other rewards may include an annual cash bonus and a comprehensive benefits package including but not limited to medical dental vision life insurance and 401(k). Please note that the job title is subject to change based on the selected candidates experience and education.

#LI-BG1

SCS is a fiduciary wealth and investment management firm serving some of the worlds most ambitious wealth creators ultrahighnetworth individuals families and institutions. SCS exists to transform wealth into possibility helping its clients protect and amplify their capital align it with their purpose and build multigenerational legacies.

SCS delivers an integrated family office and investment platform that brings together sophisticated multiasset class portfolio management access to private investments holistic wealth and estate planning nextgeneration education and purposedriven advisory. SCSs team is supported by a modern scalable technology infrastructure that enhances SCSs ability to deliver a seamless proactive whiteglove client experience.

SCS is part of Focus Financial Partners a leading financial services firm comprised of wealth management family office and business management services.

Focus is an equal opportunity employer and bases its employment decisions on the employee or candidates skillset and without regard to an employee or candidates race color religion sex (including pregnancy) gender identity sexual orientation national origin age disability genetic information veteran status or any other characteristic protected by local state and/or federal law.

Focus complies with federal and state disability laws and makes reasonable accommodations for applicants and employees with disabilities. If reasonable accommodation is needed to participate in the job application or interview process to perform essential job functions and/or to receive other benefits and privileges of employment please contact .

For California Applicants: Information on your California privacy rights can be found here

For Indiana Applicants: It is unlawful for an employer to discriminate against a prospective employee on the basis of status as a veteran by refusing to employ an applicant on the basis that they are a veteran of the armed forces of the United States a member of the Indiana National Guard or a member of a reserve component.

For Maryland Applicants: I UNDERSTAND THAT UNDER MARYLAND LAW AN EMPLOYER MAY NOT REQUIRE OR DEMAND AS A CONDITION OF EMPLOYMENT PROSPECTIVE EMPLOYMENT OR CONTINUED EMPLOYMENT THAT ANY INDIVIDUAL SUBMIT TO OR TAKE A POLYGRAP OR SIMILAR TEST. AN EMPLOYER WHO VIOLATES THIS LAW IS GUILTY OF A MISDEMEANOR AND SUBJECT TO A FINE NOT EXCEEDING $100.

For Massachusetts Applicants: It is unlawful in Massachusetts to require or administer a lie detector test as a condition of employment or continued employment. An employer who violates this shall be subject to criminal penalties and civil liability.

For Montana Applicants: If hired the employment relationship is governed by the Wrongful Discharge from Employment Act. Mont. Code Ann. Section.

For Rhode Island Applicants: Focus is subject to Chapters 29-38 of Title 28 of the General Laws of Rhode Island and is therefore covered by the states workers compensation law. If you willfully provide false information about your ability to perform the essential functions of the job with or without reasonable accommodations you may be barred from filing a claim under the provisions of the Workers Compensation Act of the State of Rhode Island if the false information is directly related to the personal injury that is the basis for the new claim for compensation. The Company complies fully with the Americans with Disabilities Act.


Required Experience:

Junior IC

Position SummaryWe are looking for a Junior Attorney with approximately 2 years of post-bar admission experience in financial services with a focus on private funds to join our Legal Team. This role will provide legal support across SCSs private funds business including regulatory compliance investm...
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About Company

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Looking for a consultative approach to your financial life? SCS Financial is an investment & wealth management firm with offices in Boston, NY, CA, & RI.

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