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Securities Compliance Attorney Jobs (NOW HIRING)

Compliance Attorney

Manhattan, NY · On-site

$200 - $250/hr

Review client due diligence and information security questionnaires to identify compliance and risk ... Attorney Advertising * Address issues involving applicable rules of professional responsibility and ...

$150 - $200/hr

Lawyers on Demand, a Consilio Company, is one of the largest and fastest growing global legal ... Support the development of the IST (Information Security & Technology) program and related ...

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Securities Compliance Attorney information

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$56.5K

$109K

$219K

How much do securities compliance attorney jobs pay per year?

As of Sep 9, 2026, the average yearly pay for securities compliance attorney in the United States is $108,986.00, according to ZipRecruiter salary data. Most workers in this role earn between $79,000.00 and $114,500.00 per year, depending on experience, location, and employer.

What is a securities compliance attorney?

Securities Compliance Attorneys are legal professionals who specialize in helping companies and financial institutions adhere to federal and state securities laws and regulations. They advise clients on compliance matters related to the issuance, trading, and reporting of securities, ensuring that their activities align with the rules set by regulatory bodies like the Securities and Exchange Commission (SEC). These attorneys also assist with internal investigations, respond to regulatory inquiries, and help develop compliance programs to prevent legal violations. Their expertise is critical for organizations aiming to avoid costly penalties and maintain good standing in the financial markets.

What are common challenges faced by securities compliance attorneys in ensuring regulatory adherence within financial firms?

Securities Compliance Attorneys often navigate complex and evolving regulations from bodies like the SEC and FINRA, making it challenging to maintain up-to-date compliance across all business activities. They must regularly review internal policies, provide training, and conduct audits to identify gaps or risks. Additionally, balancing business objectives with regulatory requirements while collaborating with departments such as trading, legal, and risk management requires strong communication and problem-solving skills. Staying proactive and adaptable is crucial to address frequent regulatory changes and enforcement actions.

What are the key skills and qualifications needed to thrive as a securities compliance attorney, and why are they important?

To thrive as a Securities Compliance Attorney, you need a Juris Doctor (JD) degree, active bar membership, and in-depth knowledge of securities laws and regulations such as the Securities Act of 1933 and the Securities Exchange Act of 1934. Familiarity with compliance management systems, legal research databases like Westlaw or LexisNexis, and regulatory filing platforms such as EDGAR is essential. Exceptional analytical thinking, attention to detail, and strong interpersonal communication skills help you interpret complex regulations and advise clients effectively. These skills ensure legal compliance, minimize regulatory risk, and protect clients and organizations from costly violations.

What is the difference between Securities Compliance Attorney vs Securities Lawyer?

AspectSecurities Compliance AttorneySecurities Lawyer
CredentialsJuris Doctor (JD), State Bar Admission, often additional compliance certificationsJuris Doctor (JD), State Bar Admission, may hold securities law certifications
Work EnvironmentRegulatory agencies, financial institutions, law firms specializing in complianceLaw firms, corporate legal departments, regulatory agencies
Employer & IndustryFinancial firms, investment banks, regulatory bodiesFinancial institutions, law firms, corporate legal teams
Search & Comparison IntentUnderstanding compliance roles, regulatory responsibilitiesLegal representation, securities law issues

While both roles involve securities law, a Securities Compliance Attorney primarily focuses on ensuring companies adhere to regulations and compliance standards. A Securities Lawyer may handle broader legal issues related to securities, including litigation and transactional work. The compliance attorney role is more specialized in regulatory adherence, often working closely with compliance teams and regulators.

More about Securities Compliance Attorney jobs

What cities are hiring for Securities Compliance Attorney jobs?

Cities with the most Securities Compliance Attorney job openings:

What states have the most Securities Compliance Attorney jobs?

States with the most job openings for Securities Compliance Attorney jobs include:

What are popular job titles related to Securities Compliance Attorney jobs?

For Securities Compliance Attorney jobs, the most frequently searched job titles are:

Infographic showing various Securities Compliance Attorney job openings in the United States as of September 2026, with employment types broken down into 1% As Needed, 84% Full Time, 11% Part Time, and 4% Contract. Highlights an 90% Physical, 2% Hybrid, and 8% Remote job distribution, with an average salary of $108,986 per year, or $52.4 per hour.

Compliance Attorney

Manhattan, NY • On-site

Davis Polk & Wardwell LLP
Law Firms • 1 - 5K employees

$200 - $250/hr

Other

Posted 7 days ago


Job description

Davis Polk & Wardwell LLP (including its associated entities) is an elite global law firm with world-class practices across the board. Clients know they can rely on Davis Polk for their most challenging legal and business matters. From offices in the world’s key financial centers and political capitals, our more than 1,000 lawyers collaborate seamlessly to deliver exceptional service, sophisticated advice and creative, practical solutions. Visit davispolk.com.

Position Summary

The Compliance Attorney is responsible for assisting the General Counsel’s Office with tasks relating to engagement letters and client outside counsel guidelines, reviewing client questionnaires, Codes of Conduct, NDAs and other similar requests for provisions that create risk for the Firm, supporting the Business Development Group’s compliance with applicable rules of professional responsibility in connection with external communications, liaising with the Firm’s Vendor Management Office in the review and revision of business services contracts for provisions that create risk for the Firm and advising business services personnel regarding same, and assisting with conflicts analysis performed in connection with lateral attorney hires, as needed. The position will be part of the Office of General Counsel, with frequent direct interaction with the Associate General Counsel and Assistant General Counsel, and will work closely with associates and Firm administrative personnel. Given the demanding and global nature of the Firm’s work, the Compliance Attorney must be available outside normal office hours and flexible with respect to evening and weekend work as circumstances require. The position is not a partnership track position.

Essential Duties and Responsibilities
  • Engagement Letter Compliance
    • Review client engagement letters.
    • Monitor engagement letter compliance.
    • Maintain repository of client engagement letters.
    • Consult with Associate General Counsel and Assistant General Counsel regarding engagement letter questions and liaising with responsible lawyer(s) in responding to client requests.
    • Assist in preparation of engagement letters.
  • Client Outside Counsel Guidelines Review
    • Review client Outside Counsel Guidelines and prepare draft responses regarding same.
    • Consult with Associate General Counsel and Assistant General Counsel regarding responses to client Outside Counsel Guidelines and liaise with responsible lawyer(s) regarding same.
    • Monitor status of Outside Counsel Guidelines responses and correspondence regarding same.
    • Maintain repository of client Outside Counsel Guidelines.
  • Client Questionnaires, Codes of Conduct, NDAs and Other Requests
    • Review client due diligence and information security questionnaires to identify compliance and risk issues and prepare draft responses regarding same.
    • Review Terms and Conditions associated with RFPs, Codes of Conduct, or other client requests and prepare draft responses regarding same.
    • Review and mark‑up NDAs and advise lawyers regarding same.
  • Business Development Compliance Initiatives
    • Client Marketing Restrictions
      • Maintain the system for tracking and implementing client marketing restrictions.
      • Primary responsibilities include analyzing and responding to inquiries regarding restrictions and consent, and developing training materials.
    • Attorney Advertising
      • Address issues involving applicable rules of professional responsibility and Firm policy as they relate to attorney advertising.
      • Primary responsibilities include monitoring legal developments, reviewing Firm communications for compliance with applicable rules, and developing training materials.
    • Social Media
      • Maintain compliance with applicable rules of professional responsibility relating to attorney use of social media.
      • Primary responsibilities include updating Firm policy, responding to attorney inquiries regarding social media profiles, reviewing the Firm’s use and development of blogs and microsites, and developing training materials.
  • Vendor Management Office Contract Review
    • Support business services personnel by liaising with the Firm’s Vendor Management Office (“VMO”) in the review and revision of vendor contracts.
    • Advise VMO contract reviewers with respect to provisions that create risk for the Firm, including representations and warranties, limitations of liability, indemnification obligations, etc.
  • Lateral Attorney Conflicts Analysis
    • Review of lateral attorney candidate conflicts reports (which are based on prior work history).
    • Identify and analyze potential conflicts.
    • Communicate with the candidate and relevant attorneys regarding potential conflicts.
    • Draft conflicts waiver request letters for review by Deputy General Counsel.
    • Waiver request letters will be communicated by or on behalf of the Deputy General Counsel to the lateral candidate’s current law firm.
    • Implement ethical walls, as appropriate.
    • Consult with Managing Attorney to ensure appropriate notifications to government agencies and courts, as appropriate.
    • Accurately document conflicts resolution, including waivers obtained or relied upon, as applicable.
  • General Responsibilities
    • Evening and weekend on‑call coverage.
    • Special Projects, as needed.
Qualifications/Position Requirements
  • Working knowledge of the Rules of Professional Responsibility.
  • Impeccable integrity.
  • The ability to work as part of a team.
  • Excellent oral and written communication skills.
  • Excellent organizational skills, ability to set priorities and multi‑task while meeting strict deadlines.
  • Ability to maintain flexibility as priorities and tasks change.
  • Keen attention to detail.
  • Ability to exercise discretion and good judgment, including as to the need for consultation with more experienced colleagues.
  • Ability to apply strong analytical skills and use deductive reasoning to draw appropriate conclusions about risk management issues and potential conflicts.
  • Availability outside normal office hours and flexibility with respect to evening and weekend work as circumstances require.
Education and/or Experience
  • Law degree from an accredited law school and licensed and in good standing to practice in NewYork.
  • A minimum of three years of experience in a large law firm.
  • Experience in General Counsel’s office or compliance is a plus.
Compensation

The expected base salary for this position ranges from $175,000 - $225,000. Salary offers are based on a wide range of factors including relevant skills, training, experience, education, and, where applicable, licensure or certifications obtained. Market and organizational factors are also considered.

Davis Polk offers a competitive salary and comprehensive benefits package.

Davis Polk is not only a top-tier law firm. We are a unique community of highly motivated individuals who work creatively and collaboratively to solve problems, shape strategy and deliver the highest quality results. As a business professional at the firm, you will work with colleagues in your department, across Business Services and with our lawyers to produce high-impact results for the firm and our clients.

Davis Polk & Wardwell LLP (including its associated entities) is an elite global law firm with world-class practices across the board. Clients know they can rely on Davis Polk for their most challenging legal and business matters. From offices in the world’s key financial centers and political capitals, our more than 1,000 lawyers collaborate seamlessly to deliver exceptional service, sophisticated advice and creative, practical solutions. Visit davispolk.com.

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