The attorney will be primarily responsible for supporting the government securities clearing, tri-party product offerings, as well as segregation and custody-related collateral management products. Law degree (J.D.) and licensed to practice law in New York 8-12 years of experience at a law firm and/or large financial institution dealing with tri-party arrangements and other collateral management products Experience with account control agreements, security agreements, as well as MSLAs, MRAs, ISDA Master Agreements, CSAs and other industry standard trading agreements Knowledge of current regulatory issues impacting the collateral management business, as well as securities finance and derivatives industries Experience with SEC rules, UCC Article 8 and related considerations, particularly as they apply to broker dealers and investment funds engaging in repurchase and securities financing transactions Knowledge of legal issues impacting the development of digital ledger technology is a plus Excellent verbal and written communication and presentation skills, and the ability to interact professionally with executives, managers, and regulators Solid quantitative and qualitative analysis skills Detail oriented, with ability to multi-task and prioritize to meet deadlines Successfully engages in multiple initiatives simultaneously Strong project management skills and able to successfully engage in multiple initiatives simultaneously The ability to be a proactive, dynamic member of a team