This attorney will be part of the Bank Regulatory team within the Regulation, Supervision & Corporate Affairs group, focusing on U.S. bank regulatory matters. Responsibilities will include providing U.S. bank regulatory advice to BNY Mellon's businesses and corporate functions in connection with all aspects of BNY Mellon's operations, including advice related to new activities and investments, internal reorganizations and the application of federal and state banking laws to BNY Mellon, including the Bank Holding Company Act, Federal Reserve Board's Regulations K, O, W and Y, New York Banking Law and DFS regulations, and OCC regulations and interpretations. Responsibilities will also include preparation of applications, notices and other regulatory submissions to Federal and state banking regulators. This attorney will work closely with colleagues in the Legal Department, Corporate Functions and Lines of Business in connection with the development of new initiatives, business transactions, products and services.
7+ years of legal experience, with a strong working knowledge of U.S. federal and state banking laws
Strong analytical, organizational and communication skills
Excellent writing skills
Capacity and willingness to take on multiple responsibilities