Sr. Director, Assoc General Counsel, Corporate Governance & Securities

16 Minutes ago • 10 Years +
Legal

Job Description

The Sr. Director, Associate General Counsel - Corporate Governance & Securities will serve as a subject matter expert and leader within CME Group’s Office of the Secretary. The role involves ensuring compliance with SEC disclosure requirements, assisting with Board of Directors matters, supporting subsidiary management, and advising on corporate governance. The ideal candidate needs strong talent management, supervisory, project management, organization, and interpersonal skills, with experience in providing practical guidance on corporate and securities disclosure laws for publicly-listed companies.
Good To Have:
  • Experience leading or mentoring a team
Must Have:
  • Serve as a subject matter expert and leader within CME Group’s Office of the Secretary.
  • Prepare and review SEC filings (10-Ks, 10-Qs, 8-Ks, S-8s, Section 16 filings, proxy statements).
  • Advise on applicable securities law issues in a practical, risk-based manner.
  • Monitor and demonstrate compliance with federal and state securities and corporate laws, NASDAQ rules, and industry organizations.
  • Advise on compliance with insider trading laws.
  • Advise on U.S. and international corporate governance matters.
  • Support global corporate initiatives and subsidiary management.
  • Produce information for auditor and regulatory requests.
  • Collaborate with Accounting, Tax, Finance, Investor Relations, and other departments.
  • Draft minutes, resolutions, approvals for the Board of Directors, Board committees, and shareholders.
  • Develop and implement efficiencies to improve existing processes and procedures.
  • Possess a JD degree from an accredited law school and be admitted to a US Bar (preferably IL or NY).
  • Have 10+ years of experience at a law firm and/or in-house corporate environment with a sophisticated international securities/corporate governance/corporate finance practice.
  • Demonstrated ability to quickly grasp main risk and governance issues and apply them consistently.
  • Strong written and verbal communication skills.
  • Excellent management skills and business judgment.
  • Proactive personality, eager to learn new areas of the law and committed to understanding the industry and the company’s business.
  • Solid project management skills.
  • Ability to communicate effectively to clearly explain complex securities and governance law topics at an executive level.
Perks:
  • Competitive total rewards package
  • Annual target bonus opportunity
  • Broad-based equity program
  • Comprehensive health coverage
  • Retirement package (401(k) and active pension plan)
  • Highly competitive education reimbursement provisions
  • Paid time off
  • Mental health benefit

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The SD, Associate General Counsel - Corporate Governance & Securities will serve as a subject matter expert and leader within CME Group’s Office of the Secretary. The role will report directly to the ED, Associate General Counsel & Corporate Secretary. The responsibilities will cover the spectrum of corporate and securities matters that confront a large, highly-regulated public company, including compliance with SEC disclosure requirements (Forms 10-K, 10-Q, 8-K, Proxy Statements and Section 16 filings) and NASDAQ listing standards; assisting with matters relating to the Board of Directors including corporate secretarial duties; supporting subsidiary management; and advising on corporate governance matters. The ideal candidate will have demonstrated strong talent management and supervisory skills, as well as project management experience, organization and interpersonal abilities. The candidate should have experience providing practical, nuanced, tailored guidance on the application of corporate and securities disclosures laws to publicly-listed companies.

Principal Accountabilities:

  • Preparing and reviewing SEC filings, including 10-Ks, 10-Qs, 8-Ks, S-8s, Section 16 filings, proxy statements, etc. and advising on applicable securities law issues in a practical, risk-based manner that is tailored to the company’s issues. Includes: advice on Regulation S-K, Regulation FD, Non-GAAP measures disclosure, risk factors and litigation disclosures, and analysis of conflicts of interest, independence and regulatory matters, including as identified in D&O questionnaires.
  • Monitoring and demonstrating compliance with federal and state securities and corporate laws, as well as applicable rules and regulations of NASDAQ and industry organizations that affect public company reporting or compliance, including Sarbanes-Oxley, Dodd Frank and proxy advisory firms.
  • Advising on compliance with insider trading laws, including Section 16 filings, application of quarterly and event trading restrictions.
  • Advising on U.S. and international corporate governance matters, including Delaware corporate law questions, charter and bylaw provisions, governance guidelines, independence and related party transactional matters, and Board committee charters and policies, and assisting with general corporate law matters.
  • Supporting global corporate initiatives and subsidiary management, including coordination of domestic and foreign subsidiary board and shareholder meetings, materials and approvals, and state corporate filings.
  • Producing information for auditor and regulatory requests.
  • Collaborating with, and providing legal support as needed to a broad range of departments and functions, including Accounting, Tax, Finance, Investor Relations and others, such as corporate financings and restructuring transactions and related due diligence and document preparation.
  • Drafting minutes, resolutions, approvals for the Board of Directors, Board committees and shareholders—recognizing the regulatory implications of the documentation.
  • Developing and implementing efficiencies to improve existing processes and procedures.

Qualifications:

  • JD degree from an accredited law school with excellent academic credentials; admitted to US Bar (preferably IL or NY).
  • 10+ years of experience at a law firm and/or in-house corporate environment with a sophisticated international securities/corporate governance/corporate finance practice.
  • Substantial experience in corporate securities ('33 and '34 Act) and corporate governance.
  • Experience advising U.S. based multinational corporations on complex matters in a nuanced, tailored basis.
  • Demonstrated ability to quickly grasp the main risk and governance issues facing the company, and apply issues from one context to another to assure aligned and consistent governance advice across the company and its various business lines.
  • Demonstrated ability to work effectively with a team across jurisdictions and ability to foster working relationships. Experience leading or mentoring a team is a plus.
  • Strong written and verbal communication skills; highly professional in interactions, demeanor and presentation.
  • Confident and decisive in stressful situations and tight time frames; highly responsive and service oriented; utilizes good judgment and demonstrates maturity, tact and diplomacy; maintains confidentiality and utilizes the utmost in discretion.
  • Excellent management skills and business judgment with a capacity to make decisions and give advice, which demonstrates an understanding of overall business objectives and the risks/rewards of each situation.
  • Proactive personality, eager to learn new areas of the law and committed to understanding the industry and the company’s business.
  • Solid project management skills (ability to manage several competing assignments and perform assignments accurately and in a timely manner).
  • Ability to communicate effectively to clearly explain complex securities and governance law topics at an executive level including a non-legal audience.

CME Group is committed to offering a competitive total rewards package for our employees that recognizes their contributions to the business and reflects our long-term investment in their future. The pay range for this role is $172,300-$287,100. Actual salary offered will be dependent on a wide array of factors including but not limited to: relevant experience, skills, education and comparison to internal employees (where relevant). Our compensation program also includes an annual target bonus opportunity for all employees, as well as the opportunity to become an owner in the company through our broad-based equity program. Through our benefits program, we strive to offer flexibility, value and choice. From comprehensive health coverage, to a retirement package that includes both a 401(k) and an active pension plan, to highly competitive education reimbursement provisions, paid time off and a mental health benefit, CME Group offers a holistic benefits package for our team and their dependents.

CME Group: Where Futures are Made

CME Group is the world’s leading derivatives marketplace. But who we are goes deeper than that. Here, you can impact markets worldwide. Transform industries. And build a career by shaping tomorrow. We invest in your success and you own it – all while working alongside a team of leading experts who inspire you in ways big and small. Problem solvers, difference makers, trailblazers. Those are our people. And we’re looking for more.

At CME Group, we embrace our employees' unique experiences and skills to ensure that everyone’s perspectives are acknowledged and valued. As an equal-opportunity employer, we consider all potential employees without regard to any protected characteristic.

Important Notice: Recruitment fraud is on the rise, with scammers using misleading promises of job offers and interviews to solicit money and personal information from job seekers. CME Group adheres to established procedures designed to maintain trust, confidence and security throughout our recruitment process. Learn more here.

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