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Capital Markets Senior Counsel

Washington, DC, USA Full-time
Compliance ManagerPrivacy CounselLegal CounselAttorney / LawyerCompliance Officer

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The Global Fixed Income Legal team is seeking an experienced securities lawyer to serve as a primary legal advisor to our Fixed Income research, trading, and portfolio management teams. The role covers a broad range of fixed income instruments and markets across the U.S., UK, and Europe. It also works closely with Compliance, Risk, and Operations colleagues.


Responsibilities:

  • Advise Fixed Income trading, research, and portfolio management teams on securities law matters under the Securities Act of 1933 and the Securities Exchange Act of 1934, including:
    • public offerings and exempt offerings (Section 4(a)(2), Regulation D, Rule 144A and Regulation S);
    • resale restrictions under Rule 144; and
    • trading restrictions, market abuse, and insider trading.
  • Advise on the handling of material nonpublic information (MNPI), information barriers, and wall-crossings, particularly for private-side activity such as private placements, bank loans, distressed debt, creditor committees, and restructurings.
  • Review and negotiate offering and transaction documents, including offering memoranda, purchase agreements, indentures, credit agreements, assignment documentation (e.g., LSTA/LMA forms), non-disclosure agreements, and similar.
  • Advise on trading and market structure matters, including best execution, TRACE and other trade reporting obligations, Treasury market and fixed income regulatory developments, and trading counterparty documentation.
  • Advise on cross-border investment and trading matters involving U.S., Canadian, UK, and European markets.
  • Monitor, interpret, and communicate regulatory developments affecting fixed income funds. Help in the development and maintenance of related policies, procedures, and training.
  • Partner with Compliance, Risk, Operations, and other Legal teams, and manage outside counsel as needed.

Qualifications:

  • At least five years of relevant legal experience at a leading law firm and/or in-house. Experience advising investment advisers, asset managers, broker-dealers, banks, or other financial institutions is preferred.
  • Juris Doctor (J.D.) degree and active membership in good standing in at least one U.S. state bar. Eligible for admission to the relevant state bar.
  • Significant experience advising on the Securities Act of 1933, including registration requirements and exemptions, Rule 144A, Regulation S, and Rule 144.
  • Significant experience advising on the Securities Exchange Act of 1934, including antifraud provisions (Section 10(b) and Rule 10b-5), and insider trading and MNPI.
  • Demonstrated experience with fixed income instruments and markets, including how debt securities are issued, structured, traded, and settled.
  • Familiarity with a broad range of fixed income products, including:
    • investment grade and high yield corporate bonds;
    • U.S. Treasuries, agency debt, sovereign, and supranational debt;
    • emerging markets debt;
    • agency and non-agency mortgage-backed securities (RMBS/CMBS);
    • asset-backed securities (ABS), CLOs, and other structured products and securitizations;
    • bank loans and leveraged loans; and
    • private placements and Rule 144A and Regulation S securities;
    • distressed debt and restructuring situations (i.e., bondholder groups and ad hoc committees).
  • Experience with capital markets transactions and fixed income trading and investment activities.
  • Strong analytical, drafting and negotiation skills, with the judgment to give practical, commercially minded advice in a fast-paced trading environment.
  • Excellent communication and stakeholder management skills, including the ability to explain complex legal issues clearly to traders, portfolio managers, and senior management.

Nice To Haves:

  • Experience directly supporting fixed income research and trading desks, portfolio managers, or investment management businesses, whether in-house or on secondment.
  • Experience advising UCITS funds and other non-U.S. investment vehicles, including eligible asset requirements and investment restrictions, particularly around securitizations.
  • Experience advising on cross-border investment and trading matters involving UK and European markets.

Special Factors

Sponsorship

Vanguard is not offering visa sponsorship for this position.

About Vanguard

At Vanguard, we don't just have a mission—we're on a mission.

To work for the long-term financial wellbeing of our clients. To lead through product and services that transform our clients' lives. To learn and develop our skills as individuals and as a team. From Malvern to Melbourne, our mission drives us forward and inspires us to be our best.

How We Work

Vanguard has implemented a hybrid working model for the majority of our crew members, designed to capture the benefits of enhanced flexibility while enabling in-person learning, collaboration, and connection. We believe our mission-driven and highly collaborative culture is a critical enabler to support long-term client outcomes and enrich the employee experience.

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