Regulatory Disputes Lawyer - Cayman Islands

In response to an ever-increasing pipeline of work this leading offshore law firm is keen to hear from high calibre regulatory diputes lawyers with  c3-5+ PQE for opportunities in their expanding Cayman practice.

Applicants will ideally hail from a recognised offshore / international law firm or leading commercial barrister’s chambers and be admitted to practice in Cayman, England & Wales or another qualifying Commonwealth jurisdiction. An excellent academic pedigree is essential, as is a forensic attention to detail and ability to handle multiple matters spanning Financial Services Regulation, Sanctions and Export Controls, Anti-Money Laundering, Anti-Bribery & Corruption, Competition Law and Data Protection. Work will include advising clients on a wide range of financial services regulatory and compliance matters such as AML/CFT, Data Protection, FACTA/CRS and other international initiatives such as the OECD BEPS regime, as well as contentious and non-contentious advice, such as regulatory reporting obligations, liaising with global regulatory, administrative and enforcement authorities. 

Operating what is a transparent, merit-based culture, this opportunity would suit those motivated to progress their careers quickly, who are wanting increased responsibility and access to clients, across global markets, within what is a collaborative, motivated team environment. In return for your effort and commitment, the successful applicants will receive best in class professional development and ongoing training while of course benefitting from all island life has to offer. In addition, a superb salary & bonus (tax free) is offered in addition to comprehensive health coverage, pension plan and competitive vacation packages.

To learn more about this opportunity and others we are instructed on with peer firms in Cayman, please send your CV and supporting information in confidence to James O’Brien ( or apply via this website.

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