Compliance Lawyer Jobs in Regulatory, Financial Services & Corporate Governance
Compliance lawyer jobs are ideal for attorneys and in-house counsel who advise businesses, banks, fintech companies, healthcare providers, and global enterprises on regulatory risk and corporate governance. These roles focus on designing compliance programs, interpreting regulations, drafting policies, managing investigations, and partnering with regulators across financial services, data privacy, anti‑bribery, AML, ESG, and industry-specific rules. On LegalExperts.ai, experienced compliance counsel, mid-level associates, and entry-level lawyers can discover in-house, law firm, contract, and remote compliance opportunities tailored to their sector and jurisdiction.
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Job Responsibilities
- Interpret and advise on applicable laws, regulations, and industry standards across relevant jurisdictions.
- Design, implement, and update compliance policies, procedures, training programs, and internal controls.
- Conduct risk assessments, compliance monitoring, and internal investigations into potential regulatory breaches or misconduct.
- Draft, review, and negotiate contracts, disclosures, codes of conduct, and regulatory submissions.
- Partner with business leaders, risk, audit, and HR to embed compliance requirements into operations and product development.
- Interface with regulators, law enforcement, and external counsel regarding examinations, inquiries, remediation, and reporting obligations.
- Track regulatory developments, assess impact on the business, and lead implementation of necessary changes to policies and processes.
Minimum Requirements
- Juris Doctor (JD), LL.B, or equivalent law degree from an accredited institution.
- Active license to practice law and good standing with the relevant bar or law society (or strong regulatory counsel experience in-house).
- 1–3 years of legal or compliance experience for junior roles; 5+ years for senior or head of compliance positions.
- Demonstrated knowledge of at least one core regulatory domain, such as financial services regulation, data privacy, sanctions, anti-bribery, healthcare, or competition law.
- Experience interpreting and applying regulations to business operations, products, and internal control frameworks.
- Strong legal research, drafting, and analytical skills, with the ability to translate complex requirements into practical guidance.
- Excellent communication skills and stakeholder management capabilities, including experience working with cross-functional teams.
Preferred Skills
- Specialization in a regulated industry such as banking, payments, fintech, insurance, pharmaceuticals, medical devices, or energy.
- Experience with cross-border regulations, multi-jurisdictional compliance programs, and global investigations.
- Familiarity with compliance management systems, GRC tools, case management software, and data analytics for monitoring and reporting.
- Prior in-house experience as compliance counsel, regulatory lawyer, or in a secondment to a regulated client.
- Background in risk management, internal audit, or ESG compliance, including policy development and board reporting.
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