
Associate – Public Company Representation / Capital Markets (2–4 PQE)
Myn, Chicago, IL, United States
Associate – Public Company Representation / Capital Markets (2–4 PQE)
About the Opportunity A leading global law firm is seeking a highly qualified Associate to join its Capital Markets practice in Chicago, with a focus on Public Company Representation. This is an excellent opportunity to work with a market-leading team advising public companies, boards, senior executives, and management teams on complex governance, disclosure, and securities law matters.
The practice advises more than 1,000 public companies globally and serves as primary counsel on corporate governance and securities matters for hundreds of public companies — from newly listed businesses to established global market leaders.
The Practice The team provides comprehensive counsel across corporate governance, SEC reporting, stock exchange compliance, and disclosure obligations. Lawyers work closely with boards of directors, officers, and senior leadership teams on strategic legal matters, regulatory requirements, and public company compliance.
The group also partners closely with specialists across Capital Markets, M&A, Finance, Litigation, Executive Compensation, Employment & Benefits, ESG, and Shareholder Activism to deliver fully integrated support throughout the corporate lifecycle.
Supported by a centralised team of former senior SEC officials and highly experienced securities lawyers, the practice offers real-time guidance on the most sophisticated public company and securities issues in the market.
The Role This position is suited to a 2nd through 4th year associate with strong experience in capital markets and public company representation.
Key responsibilities include:
Advising boards of directors, officers, and senior management on corporate governance and securities law matters Supporting SEC reporting and disclosure obligations, including Forms 10-K, 10-Q, 8-K, proxy statements, and earnings releases Advising on stock exchange compliance, SEC regulations, and foreign private issuer (FPI) matters Assisting with annual shareholder meetings and ongoing public company compliance matters Supporting ESG disclosure and reporting strategies alongside specialist teams Collaborating across practice groups on broader corporate transactions, financings, and strategic matters
Candidate Profile
Minimum of 2 years’ experience in capital markets and public company representation Strong background from a leading law firm with sophisticated transactional and advisory experience Experience with SEC reporting, disclosure obligations, and public company governance matters Strong academic credentials Excellent drafting, analytical, and communication skills Ability to manage complex matters in a fast-paced environment Strong commercial awareness and client relationship skills
Why Apply
Join one of the most highly regarded Public Company Representation practices globally Advise leading public companies and senior corporate leadership teams Work alongside recognised market leaders and former senior regulators Exposure to complex, high-value matters across multiple industries Exceptional career progression and development opportunities
About the Opportunity A leading global law firm is seeking a highly qualified Associate to join its Capital Markets practice in Chicago, with a focus on Public Company Representation. This is an excellent opportunity to work with a market-leading team advising public companies, boards, senior executives, and management teams on complex governance, disclosure, and securities law matters.
The practice advises more than 1,000 public companies globally and serves as primary counsel on corporate governance and securities matters for hundreds of public companies — from newly listed businesses to established global market leaders.
The Practice The team provides comprehensive counsel across corporate governance, SEC reporting, stock exchange compliance, and disclosure obligations. Lawyers work closely with boards of directors, officers, and senior leadership teams on strategic legal matters, regulatory requirements, and public company compliance.
The group also partners closely with specialists across Capital Markets, M&A, Finance, Litigation, Executive Compensation, Employment & Benefits, ESG, and Shareholder Activism to deliver fully integrated support throughout the corporate lifecycle.
Supported by a centralised team of former senior SEC officials and highly experienced securities lawyers, the practice offers real-time guidance on the most sophisticated public company and securities issues in the market.
The Role This position is suited to a 2nd through 4th year associate with strong experience in capital markets and public company representation.
Key responsibilities include:
Advising boards of directors, officers, and senior management on corporate governance and securities law matters Supporting SEC reporting and disclosure obligations, including Forms 10-K, 10-Q, 8-K, proxy statements, and earnings releases Advising on stock exchange compliance, SEC regulations, and foreign private issuer (FPI) matters Assisting with annual shareholder meetings and ongoing public company compliance matters Supporting ESG disclosure and reporting strategies alongside specialist teams Collaborating across practice groups on broader corporate transactions, financings, and strategic matters
Candidate Profile
Minimum of 2 years’ experience in capital markets and public company representation Strong background from a leading law firm with sophisticated transactional and advisory experience Experience with SEC reporting, disclosure obligations, and public company governance matters Strong academic credentials Excellent drafting, analytical, and communication skills Ability to manage complex matters in a fast-paced environment Strong commercial awareness and client relationship skills
Why Apply
Join one of the most highly regarded Public Company Representation practices globally Advise leading public companies and senior corporate leadership teams Work alongside recognised market leaders and former senior regulators Exposure to complex, high-value matters across multiple industries Exceptional career progression and development opportunities