1

Sec Attorney Jobs (NOW HIRING)

Attorney

Dover, NH ยท On-site

$200K - $300K/yr

  • Medical

  • Dental

  • Vision

  • Retirement

  • PTO

AVP SEC Reporting Attorney - Dover, NH Large Insurance Carrier seeking legal subject matter expert in accounting and finance with strong technical knowledge of financial services industry legal ...

This role is designed for an attorney who is continuing to build subject matter expertise and ... Support the provision of legal counsel on matters related to SEC-registered investment advisers ...

Senior Securities Attorney

Miami, FL

$250K - $350K/yr

  • Medical

  • Dental

  • Vision

With approximately 100 attorneys, the firm operates out of several offices throughout the state. We ... SEC regulations, and securities law compliance Represent issuers, investors, and financial ...

Attorney 1, Securities

Durham, NC ยท On-site

$77K - $194K/yr

Title: Attorney 1 Overview: IQVIA is seeking a mid-level attorney to join our corporate in-house ... Key Responsibilities: * Assist with public company securities law compliance and preparation of SEC ...

Showing results 41-60

Sec Attorney information

See salary details

$46K

$108.2K

$172.5K

How much do sec attorney jobs pay per year?

As of Aug 15, 2026, the average yearly pay for sec attorney in the United States is $108,160.00, according to ZipRecruiter salary data. Most workers in this role earn between $80,000.00 and $130,000.00 per year, depending on experience, location, and employer.

What is an SEC attorney?

SEC attorneys are legal professionals who work for or with the U.S. Securities and Exchange Commission (SEC), the federal agency responsible for enforcing securities laws and regulating the securities industry. Their main duties include investigating securities fraud, drafting and enforcing regulations, litigating enforcement actions, and providing legal advice on compliance with federal securities laws. They play a crucial role in protecting investors, maintaining fair markets, and ensuring transparency within the financial sector. SEC attorneys may work directly for the SEC or in private practice representing clients before the SEC.

What is the difference between Sec Attorney vs Security Consultant?

AspectSec AttorneySecurity Consultant
CredentialsLaw degree, bar license, security law certificationsSecurity certifications (CISSP, CISM), industry experience
Work EnvironmentLegal firms, corporate legal departments, government agenciesPrivate firms, consulting agencies, corporate security teams
Industry UsageLegal and compliance sectorsCybersecurity and physical security sectors

Sec Attorneys focus on legal compliance, regulations, and advising clients on security laws, while Security Consultants assess risks and implement security measures. Both roles require security-related knowledge but serve different functions within the security industry.

What are the key skills and qualifications needed to thrive as an SEC attorney, and why are they important?

To thrive as an SEC Attorney, you need a Juris Doctor (JD) degree, state bar admission, and a strong background in securities law and regulatory compliance. Familiarity with legal research databases (such as Westlaw or LexisNexis), SEC filing systems (EDGAR), and relevant statutes like the Securities Act of 1933 and Securities Exchange Act of 1934 is essential. Strong analytical abilities, attention to detail, and effective communication skills help SEC Attorneys interpret complex regulations and advise stakeholders. These skills ensure accurate legal guidance, safeguard market integrity, and uphold regulatory standards in the financial industry.

What are some common challenges SEC attorneys face when working on compliance matters within organizations?

SEC Attorneys often navigate complex and ever-evolving securities regulations, making it challenging to ensure organizational compliance. They must regularly interpret new rules, guide internal teams on proper disclosure practices, and address potential conflicts of interest. Effective collaboration with compliance officers, executives, and external regulators is key, as is staying current with regulatory updates to mitigate risks and protect the organization from enforcement actions.

What cities are hiring for Sec Attorney jobs?

Cities with the most Sec Attorney job openings:

What states have the most Sec Attorney jobs?

States with the most job openings for Sec Attorney jobs include:

Infographic showing various Sec Attorney job openings in the United States as of August 2026, with employment types broken down into 89% Full Time, 10% Part Time, and 1% Contract. Highlights an 73% Physical, 11% Hybrid, and 16% Remote job distribution, with an average salary of $108,160 per year, or $52 per hour.

Senior Corporate Securities Attorney

Goodspeed Merrill

Englewood, CO โ€ข On-site

$144 - $160/hr

Other

Medical, Dental, Vision, Life, Retirement, PTO

Re-posted 13 days ago


Job description

Goodspeed Merrill (GM), a rapidly growing, full-service business law firm located in south metro Denverโ€™s Meridian community, is seeking an experienced Senior Corporate Securities Attorney to join our Corporate practice group. This role focuses heavily on private securities offerings (exempt from registration), private fund formation, advising registered investment advisers (RIAs) and their principals, and related corporate governance items (shareholder agreements, operating agreements, etc.).

Key Results
  • Deliver practical, business-focused guidance on U.S. federal and state securities compliance for domestic and foreign issuers, with a strong emphasis on private placements and exemptions from SEC registration.
  • Advise registered investment advisers (RIAs) on securities, regulatory, compliance, disclosure, and governance matters, including coordination with fund formation and offering activities.
  • Draft and oversee private offering materials, subscription documents, corporate governance, shareholder agreements, operating agreements, and related regulatory compliance.
  • Identify securities compliance and governance issues and provide clear, practical solutions for privately held companies and investment sponsors in private placement offerings.
  • Knowledge of FINRA rules and familiarity with state securities laws.
  • Monitor regulatory changes and develop internal securities compliance policies and client-facing training programs.
  • Manage multiple client relationships and collaborate with accountants, investment professionals, and other advisors.
  • Mentor junior attorneys and legal staff.
Qualifications
  • Substantial Law Firm Experience with a proven track record working in a multi-client law firm environment, managing and servicing a diverse portfolio of corporate clients simultaneously.
  • Demonstrated experience advising clients on capital raises of $1,000,000 or more from multiple investors (including friends and family) using equity, debt and /or convertible security structures, including identifying, advising and selecting effective and efficient registration exemptions (Regulation A; Regulation D and related safe-harbors).
  • 5+ years of securities law experience, including significant work with private securities offerings, venture capital financing, startup counseling, Regulation D, A, and S, and private fund formation.
  • Demonstrated experience advising RIAs, fund managers, or investment sponsors on securities and regulatory matters.
  • Strong background in preparing private placement memoranda and related disclosure documents.
  • Juris Doctor from an accredited law school.
  • Licensed to practice law in Colorado (or ability to obtain admission).
Skills and Abilities
  • Ability to independently run point on private placement exemptions from SEC registration, with expert-level command of Regulation D (Rules 506(b) and 506(c)), Regulation A, and other primary registration exemptions.
  • Advanced capability in analyzing investor profiles (e.g., accredited vs. non-accredited status) to determine, select, and execute the most appropriate exemptions from securities registration.
  • Extensive, hands-on experience drafting comprehensive private placement memoranda (PPMs), subscription agreements, investor questionnaires, and required SEC/state notice filings (e.g., Form D).
  • Expert drafting skills for the underlying corporate governance documents necessary for capital raises, including complex operating agreements, shareholder agreements, and investor rights agreements.
  • Deep knowledge of private securities offerings (equity, debt, and convertible instruments), investor qualification, disclosure obligations, and SEC compliance.
  • Strong understanding of securities law, SEC regulations, and corporate governance, particularly as applied to privately held companies and investment advisers.
  • Ability to work independently while collaborating in a complex, fast-moving practice area.
  • Excellent drafting skills and sound judgment in selecting practical legal strategies.
  • Strong organizational skills and ability to manage competing priorities.
  • Proven leadership, communication, and relationship-building skills.
  • Business-development mindset and interest in a long-term role within a growing firm.
To Work with GM, You Should Appreciate
  • A client-first mindset and willingness to step in as client needs dictate.
  • A culture of high performance that still values enjoyment of the work and the people.
  • Flexibility in how we operate as a growing, entrepreneurial law firm.
  • A team-oriented environment with a โ€œno task too smallโ€ attitude.
Compensation and Benefits
  • Salary Range - $144,000 - $160,000 (depending on experience)
  • Quarterly Bonus Potential - from 3% to 16% of total realized revenue with no billable hour requirements. Bonuses are tied to clear objective metrics, offering substantial earning potential for high performers.
  • Medical Insurance (Employer pays 75% employee only)
  • Dental Insurance (Employer pays 50% employee only)
  • Vision Insurance (Employer pays 50% employee only)
  • Life Insurance (Employer pays 100% employee only)
  • Short-term Disability Insurance (Employer pays 100% employee only)
  • Long-term Disability Insurance (Employer pays 100% employee only)
  • Attorney Student Loan Support Program (financial assistance toward student loans)
  • 401(k) plan - with Employer matching up to 3.5%
  • Discretionary Paid Time Off
  • Holiday pay (9 days / year)
  • State Bar dues and CLEs
  • Voluntary Critical Illness, Accident, Life, and Hospital Indemnity options.
  • Professional Growth - Opportunities for advancement in a growing firm.
Legal Disclaimer

Goodspeed Merrill is an Equal Opportunity Employer. We do not discriminate based on race, color, religion, national origin, sex, age, disability, genetic information, or any other status protected by law. Employment decisions are based on job-related qualifications and business needs.

#J-18808-Ljbffr