Corporate Securities and M&A Counsel Job in Palo Alto, CA Near Me - 256585 | BCGSearch.com

Corporate Securities and M&A Counsel

Type Full-Time

Location California - Palo Alto

Job ID JJ9L256585

Experience Level Midlevel Associate

Job Experience Min. 4 - Max. 8 Years

Practice Areas Corporate - M&ACorporate - Securities and Capital Markets

2022-05-09 02:42:43

Palo Alto office of our client seeks corporate securities and M&A counsel with 4+ years of general experience at a law firm advising management and boards of publicly listed and private companies in M&A, public and private securities offerings and SEC compliance matters. The candidate will advise the executive team in all aspects of public company legal representation related to SEC and Nasdaq exchange listing requirements. Will take a leading role in the drafting and negotiation of M&A transaction agreements. Manage the SEC and exchange-listed compliance requirements, as well as the drafting and negotiation of acquisition or disposition transactions. Provide advice on continuous public disclosure requirements and collaborate with the marketing and investor relations teams to review press releases and other public disclosures. Advise and assist with other general corporate matters associated with a global organization. Focus on: SEC filings and reports. Provide lead legal support for the preparation of 10-Ks, 10-Qs, 8-Ks, proxy statements and other SEC filing. Advise on disclosure matters, and SEC and Nasdaq exchange listing requirements. Coordinate the planning and execution of the annual stockholders meeting and stay current on governance trends and SEC and stock exchange rules and regulations. Work closely will outside counsel in connection with the drafting of transaction documents and registration statements and prospectus supplements associated with follow-on public offerings and exchanges. Lead and manage all legal aspects concerning the execution of the M&A strategy in collaboration with outside counsel, including drafting and negotiation of letter of intents and primary and ancillary definitive transaction documents associated with cross-border transactions. Coordinate and manage all aspects of due diligence review. Work with executive stakeholders and business partners to provide legal guidance on securities, compliance, and risk matters. Identify and evaluate business and legal risks, and find creative ways to mitigate them while achieving business goals. Draft and administer corporate policies. Lead and manage new entity establishment and corporate governance compliance requirements in the US and abroad. Review of press releases, earnings releases, earnings call scripts and other shareholder communications and disclosure matters. Coordinate with investor relations advisors as needed. Ensure adherence to corporate governance requirements. Should be admitted to practice in one or more states in the United States and a member of one or more state Bar(s) in good standing. Must have a Bachelors degree in Business or Finance. Should be familiar with: 33 and 34 Act filings, and related disclosure requirements in connection with annual and quarterly reports. Section 16 filings, proxy filings, and shareholder meeting matters. Registration statements, including S-1, S-3 and S-4 registration statements for NASDAQ exchange listed companies including initial and continued listing requirements essential.

This particular job is currently not active. However, since our clients regularly share with us similar and other job openings, we strongly recommend that you submit your resume. We shall review your resume and get in touch with you as soon as a suitable vacancy comes up to further discuss your interest in exploring the opportunity. Assisting you is our highest priority.

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Your information will not be forwarded to any employers at this time. A recruiter will contact you with more information once our internal review of your resume is completed.

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