Serve as counsel providing regulatory guidance and legal advice to RBC's Swap Dealer and Security-Based Swap Dealer, including regulatory margin requirements.Serve as secondary counsel to RBCCM's Macro and Spread (Fixed Income) sales & trading businesses, including FX, Rates, credit, derivatives, high yield, distressed trading and electronic trading, and all related legal and regulatory matters.Advise on regulatory considerations and new initiatives.Perform major role in collaborating with front office, Litigation, and control functions across the enterprise as needed regarding regulatory inquiries and special remediation efforts arising out of covered business lines.Assist in managing external counsel relationships with respect to engagements deemed necessary in connection with the foregoing.Requirements3-9 or more years of experience in practicing law as it applies to banking and financial servicesJuris Doctorate and member in good standing of bar of a U.S. state with at least an in-house New Jersey certificationSubstantial knowledge of, and experience with, U.S. securities laws, rules and regulationsKeen understanding of the requirements and roles of key functional partners and other internal stakeholdersStrong problem-solving, judgment, oral/written communication, and decision-making skillsStrong ability to establish and manage processes and proceduresStrong ability to balance and prioritize competing work demandsCertifications & QualificationsJuris DoctorateNew Jersey in-house certification#J-18808-Ljbffr