Overview
Securities Litigation Group Associate Jobs in Washington, District of Columbia, USA at Liberty Personnel Services, Inc.
Securities Litigation Group Associate   (AM Law 100)
3-4 in office per week
Role:
The Securities Litigation Group Associate will support the firm’s efforts in representing clients in complex securities litigation matters, including class actions, shareholder disputes, and regulatory enforcement proceedings.
Responsibilities:
Legal Research and Analysis: Â Conduct
in-depth research
on securities laws, regulations, and case precedents to support case strategies and client advice.
Drafting Legal Documents: Â Prepare pleadings, motions, briefs, discovery requests, and responses for submission to courts or regulatory bodies.
Case Management: Â Assist in managing all phases of litigation, including fact investigation, discovery, depositions, trial preparation, and settlement negotiations.
Client Interaction
: Â Collaborate with clients to gather information, provide updates on case progress, and assist in responding to inquiries from regulatory agencies like the SEC or FINRA.
Qualifications:
Education:
Juris Doctor (J.D.) from an accredited law school; admission to the bar in the relevant jurisdiction.
Experience:
2–5 years of experience in litigation, preferably with a focus on securities law, financial services, or complex commercial disputes (though some firms may hire entry-level associates with strong credentials).
Compensation:
$300-450k + bonus
A
competitive compensation package
will be available for this position including Base Salary, Annual bonus, medical, dental, vision, 401K, vacation and sick time, paid holidays,
career growth
programs, and much more!
How to Apply:
Please send your resume to Â
Please add me on Linked In!
I look forward to working with you!
Chris Mc Farland
Liberty Personnel Services
#J-18808-Ljbffr
Title: Securities Litigation Group Associate
Company: Liberty Personnel Services, Inc.
Location: Washington, District of Columbia, USA
Category: Law/Legal (Regulatory Compliance Specialist, Financial Law)