Private Funds/ Investment Services Associate Attorney

S4L Partners•New York, NY
•Hybrid

About The Position

Our Investment Services team in the Chicago, New York City or Washington, DC office is seeking an associate with 3-5 years of corporate or securities law experience at a law firm. This role involves working with SEC-registered investment advisers and private investment funds, handling regulatory and compliance matters, and potentially engaging in transactional work. The firm offers top-tier work in a personalized environment, with opportunities for responsibility, client contact, and substantial professional development. A hybrid work policy is in place, requiring three days a week in-office attendance and two days remote.

Requirements

  • 3-5 years of corporate and securities law experience at a law firm.
  • Experience primarily working with SEC-registered investment advisers and private investment funds (specifically private equity, venture capital, real estate and similar investment vehicles).
  • Experience with regulatory and compliance matters regarding federal securities laws, including the Investment Advisers Act of 1940, the Investment Company Act of 1940 and the Securities Act of 1933.
  • Experience managing multiple matters simultaneously.
  • A J.D. degree and strong academic credentials.
  • Admitted in (and in good standing with), or taking steps to become admitted in, the applicable jurisdiction (Illinois, New York or District of Columbia).

Nice To Haves

  • Transactional/mergers & acquisition experience involving investment advisers and/or private investment funds (e.g., adviser M&A, continuation vehicles, secondary transactions, etc.).

Responsibilities

  • Work with SEC-registered investment advisers and private investment funds (specifically private equity, venture capital, real estate and similar investment vehicles).
  • Handle regulatory and compliance matters regarding federal securities laws, including the Investment Advisers Act of 1940, the Investment Company Act of 1940 and the Securities Act of 1933.
  • Engage in transactional/mergers & acquisition experience involving investment advisers and/or private investment funds (e.g., adviser M&A, continuation vehicles, secondary transactions, etc.).
  • Manage multiple matters simultaneously.

Benefits

  • Substantial professional development assistance in the form of training, mentoring and performance feedback.
  • Competitive compensation and benefits structure.
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