Advise on a broad range of financial services, banking, investment management, capital markets, and securities-related matters.
Draft, review, and negotiate financial and commercial agreements, including investment, trading, brokerage, derivatives, fund, lending, and related transactional documentation.
Provide legal and regulatory guidance regarding financial products, investment activities, market practices, and applicable Canadian and international regulations.
Support business, compliance, risk, and operational teams by identifying legal risks and developing practical solutions aligned with business objectives.
Monitor regulatory developments and assist with regulatory inquiries, examinations, audits, and compliance initiatives.
Qualifications:
Licensed to practice law in at least one Canadian province.