Financial Services Regulatory Lawyer
Timothy Loh LLP is hiring a Financial Services Regulatory Lawyer who will be responsible for SFC and IA regulatory advice as well as advice on AML/CTF and tax compliance.
International client base
International management team
Central location in Grade A offices
Excellent career progression
Team based work culture
The successful candidate will take day-to-day responsibility for financial services regulatory matters with a primary focus on non-contentious work. The candidate may take a role as well in transactional work, including M&A and fund formation, and contentious work, including SFC enquiries and investigations, where financial services regulations are central to the matter.
Hong Kong qualified solicitor with 2-4 yrs PQE focused on financial services regulation
High degree of familiarity with the Hong Kong regulatory regime for the securities and insurance industries
Fluency in English and Chinese (Cantonese or Mandarin) (written and spoken)
International law firm background preferred
Organized, independent and detail oriented
Personable and able to work as part of a team
Who we are
TIMOTHY LOH LLP was established in 2004 and is internationally recognized for its work in M&A, Private Equity, Hedge Funds and Financial Services. Its affiliate, TIMOTHY LOH CORPORATE SERVICES LTD, provides company secretarial and trust services. For more information please visit us on LinkedIn.