Special Counsel, Media Bureau
Federal Communications Commission
Posted: March 26, 2026 (1 day ago)
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Securities and Exchange Commission
Other Agencies and Independent Organizations
Location
Washington, District of Columbia
Salary
$151,597 - $256,833
per year
Type
Full-Time
More Legal jobs →Closes
Base salary range: $147,649 - $221,900
Typical requirements: Executive-level leadership experience. Senior executive qualifications required.
Note: Actual salary includes locality pay (15-40%+ depending on location).
This role involves reviewing and advising on proposed rules and regulations for the Securities and Exchange Commission, focusing on areas like investment management and trading markets to ensure they comply with federal securities laws.
You'll analyze complex legal issues, prepare memos and briefings, and collaborate with other experts to resolve potential problems.
It's a great fit for experienced lawyers with a strong background in securities regulation who enjoy tackling novel legal challenges in a government setting.
The Office of the General Counsel (OGC) is seeking a General Attorney in the Administrative Law and Legal Review Group (Group) in Washington, DC.
As a Senior Counsel (Legal Review), you will provide legal analysis and advice on federal securities laws, administrative procedure, and other applicable laws.
Applicants are responsible for confirming all required materials are submitted by the deadline.
Please check the How You Will Be Evaluated and Required Documents sections carefully, as missing documents will render the application incomplete and ineligible for review.
Qualifying experience may be obtained in the private or public sector.
Experience refers to paid and unpaid experience, including volunteer work done through National Service programs (e.g., Peace Corps, AmeriCorps) and other organizations (e.g., professional, philanthropic, religious, spiritual, community, student, social).
Volunteer work helps build critical competencies, knowledge, and skills and can provide valuable training and experience that translates directly to paid employment.
You will receive credit for all qualifying experience, including volunteer experience. Qualifying education must have been obtained from an accredited college or university recognized by the U.S.
Department of Education. All qualification requirements must be met by the closing date of this announcement. BASIC REQUIREMENT: All applicants must possess the following J.D. or LL.B.
degree --AND-- Active membership of the bar in good standing in any state, territory of the United States, the District of Columbia, or the commonwealth of Puerto Rico.
(Note: proof of bar membership will be required before entry on duty.
MINIMUM QUALIFICATION REQUIREMENT: In addition to meeting the basic requirement, applicants must also meet the minimum qualification requirement.
SK-14: Applicant must have at least three years of post J.D.
work experience independently identifying legal issues, providing legal analyses, providing legal solutions/recommendations, and preparing legal documents, such as legal memoranda and presentations, which also includes at least two years: Analyzing, researching, and applying federal securities laws, such as the Exchange Act, the Advisers Act, or the Investment Company Act, or federal laws governing rulemaking; AND Conveying analysis through written and oral briefings, consultations, correspondence, or other presentations.
*Experience with agency rulemaking, preferably with the Administrative Procedure Act and other federal administrative statutes applicable to agency rulemaking, is desirable.* Major Duties:
The Group analyzes rulemakings and other recommendations to the Commission prepared by SEC divisions and offices, including the Divisions of Corporation Finance, Investment Management, Trading and Markets, and the Office of the Chief Accountant.
Attorneys coordinate with division and office leaders to identify and resolve legal issues related to agency rulemaking and other regulatory actions.
These issues often involve complex and novel questions of law, and attorneys convey their analysis through written and oral consultations.
If selected, you will support the work of the Group as it relates to either the Division of Investment Management or the Division of Trading and Markets.
Typical Duties Include: Providing authoritative legal advice and assistance, both orally and in writing, to other attorneys and specialists across the Commission, including analysis of complex legal issues with broad policy implications.
Reviewing and analyzing proposals for rules and regulations drafted by the Division of Investment Management or the Division of Trading and Markets.
Preparing a variety of written documents to convey information and analysis, including legal memoranda.
Also conveying information and analysis orally through briefings, consultations and other presentations.
Advising on novel legal questions, including responding to questions concerning federal securities laws, such as the Securities Exchange Act of 1934 (Exchange Act), the Investment Advisers Act of 1940 (Advisers Act), and the Investment Company Act of 1940 (Investment Company Act), and administrative procedure, including Administrative Procedure Act and other related laws.
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