In today’s business environment of stringent regulatory demands and heightened scrutiny around governance issues, recruitment of legal, compliance and regulatory leadership is critical. Compliance is one of the financial industry’s most intricately varied fields, intersecting with risk, legal, and even marketing. Senior management are also increasingly relying on the legal team to stay ahead of governance issues. Leadership roles in this industry often chart a company’s path to profitability, all the while observing increased legislation, litigation and regulation. An effective legal & compliance team often requires attorneys and compliance officers who can foster close collaboration between compliance and other company functions, in addition to being effective advisors to the organization’s business leadership.
Our Legal, Compliance & Regulatory Affairs Practice understands industry demands and collaborates across regions and practices to find the best fit for our clients’ needs. Our consultants utilize their industry expertise and a national network of contacts to source the most qualified candidates for the most targeted searches.
JW Michaels works with select investment management firms, hedge funds, funds of funds, private equity firms and investment banks, among other prominent financial institutions. We’ve had success placing staff-level attorneys and compliance officers, Deputy CCOs and CCOs, General Counsels, and other senior Regulatory professionals who will best contribute to the success of our clients’ organizations. We can supply you with legal and compliance professionals, contracts management professionals, legal administrators, and skilled paralegals who have experience and subject-matter expertise in any of our focus industries. We do it all, really.