Responsibilities and Duties
• Provide advice to clients of the firm: (i) on aspects of funds regulation, investment services regulation,
banking regulation and insurance & pensions regulation, both at licensing stage and on an ongoing basis;
(ii) on transactional matters in relation to regulated entities, including acquisitions and financings;
• Work with team members and manage client relationships, under the supervision of the partners
of the firm responsible for regulatory practice area;
• Perform other duties as assigned or requested.

• Hold a Law degree from the University of Malta (Doctor of Laws or Master of Advocacy), with a warrant
to practice under Maltese law;
• Have a minimum of 2 years’ experience in a similar role;
• Detailed understanding of (and interest in) any one or more of the areas of financial services regulation
set out above;
• Have excellent written and verbal communication skills in Maltese and English.

Skillsets and requirements
• Deadline driven, with a proactive approach;
• Deliver tasks with high attention to detail;
• Willing to follow training and focus on continuing professional development;
• Have strong interpersonal and organisational skills and the ability to perform under pressure.

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