Legal, Compliance & Regulatory Affairs
We are living in the most regulated time in the history of financial services. With more fiscal transparency than ever, companies today face increasing intense regulatory and reputational risk. This necessitates legal and compliance leadership who can effectively facilitate collaboration between the C-suites, as well as the ability to communicate to a more sophisticated set of internal & external constituents.
JW Michaels understands this evolving regulatory environment, and the need for strong legal and compliance personnel to guide you through it. We deliver candidates who understand today’s best practices, as well as possess the tangible and intangible skills to succeed in this demanding role. More importantly, we understand how rare the perfect candidate is, and we specialize in finding just the right fit.
Our talented In-House Practice Group partners with you to understand your organization; learn your challenges, strengths and requirements; and provide you with an all-inclusive consultative experience.
Who We Recruit
- General Counsels
- Chief Compliance Officers
- Deputy General Counsels
- Deputy Chief Compliance Officers
- Compliance Officers
- Other Senior Regulatory Professionals
Who we work with
Our Legal, Compliance & Regulatory Affairs works with numerous Fortune 100 firms including investment management firms, hedge funds, funds of funds, private equity firms, asset management firms, commercial banks, and investment banks, as well as boutique firms and start-ups of all sizes. Since our founding, our in-house recruiters have developed deep relationships with both corporate law departments and lawyers gaining an unmatched perspective of the legal marketplace; and more importantly their relationship with the needs of the financial sector.