What are the responsibilities and job description for the Associate Attorney – Securities & Governance position at Kurt Bridge?
Job Title: Securities Law Associate
Location Options: Akron, Columbus, or Toledo, OH; Sarasota or Tampa, FL; Minneapolis, MN; Charlotte, NC; or Charleston, SC
Employment Type: Full-Time | Direct Hire
Compensation: Competitive salary based on experience Comprehensive Benefits
About the Role:
We are seeking an experienced and driven Securities Law Associate to join a nationally recognized legal team known for its excellence and collaborative, energetic work environment. This opportunity is ideal for legal professionals looking to deepen their involvement in high-level securities law matters while enjoying a collegial atmosphere and career growth potential.
The successful candidate will play a key role in handling complex securities work for a diverse portfolio of clients across the country. The role primarily focuses on compliance with SEC reporting obligations, and offers the opportunity to expand into related areas such as corporate governance, mergers and acquisitions (M&A), and venture capital transactions.
Key Responsibilities:
Advise and represent public companies in connection with public and private securities offerings
Draft, review, and file periodic reports, registration statements, proxy statements, and other documents in compliance with the Securities Exchange Act of 1934
Provide strategic legal counsel on corporate governance issues and compliance
Support clients through M&A transactions, including due diligence, structuring, and documentation
Participate in venture capital and other private equity transactions, where applicable
Conduct legal research and analysis using advanced legal tools and databases
Work collaboratively with colleagues and clients to meet deadlines and maintain exceptional service standards
Manage multiple concurrent matters with minimal supervision, maintaining attention to detail and regulatory accuracy
Maintain the confidentiality of all client and firm-related information
Qualifications:
Juris Doctor (JD) from an ABA-accredited law school
Active law license in one of the following states: OH, FL, MN, NC, or SC (depending on desired office location)
Minimum 3 years of experience practicing securities law, including SEC reporting and filings
Experience in corporate governance, M&A, and/or venture capital transactions strongly preferred
Technologically proficient, with experience using legal practice management systems and client portals
Superior legal research capabilities and a deep understanding of securities regulations and compliance
Strong project management and organizational skills, with the ability to prioritize competing deadlines
Excellent verbal and written communication skills
Demonstrated analytical, problem-solving, and decision-making abilities
High level of professionalism, with the ability to work independently and maintain strict confidentiality
Workplace & Physical Requirements:
Must be able to sit for extended periods (up to 30 minutes at a time)
Occasional lifting and carrying of materials up to 20 lbs
Occasional bending and stooping may be required (up to 30 minutes per day)