Must also have experience with the following special skills: 3 years of professional experience monitoring, interpreting, and analyzing industry M&A trends, regulatory changes, financials, and landmark deal considerations, to identify nuanced strategic considerations and provide bespoke legal guidance to clients and other key stakeholders related to complex M&A transactions, corporate finance transactions, joint ventures, private equity transactions, and strategic partnerships; 3 years of professional experience representing corporate clients, private equity funds, and regulated asset managers in domestic and global mergers, acquisitions and equity investments in a broad range of industries, preparing and revising transaction documents for private equity clients and portfolio companies including equity commitment letters, limited guarantees, incentive award agreements, purchase agreements, merger agreement, and transaction consents; 3 years of professional experience advising on acquisitions and equity investments in a broad range of industries, with specific focus on carve-out transactions involving complex multi-jurisdictional reorganization and various U.S. and international corporate and regulatory matters; 3 years of professional experience reviewing, drafting and negotiating regulatory-sensitive agreements, including fund management contracts, sub-advisory agreements, novation agreements, fund organizational documents, fund prospectuses, side letters, and shareholder consent materials; 3 years of professional experience designing legal strategies to manage transactions for complex fund structures (mutual funds, ETFs, private funds, SMAs) and investment strategies (credit, real estate, hedge, private equity); and 3 years of professional experience conducting analytical due diligence for complex fund structures (mutual funds, ETFs, private funds, SMAs) and investment strategies (credit, real estate, hedge, private equity) focused on investor consents, compliance program integration, SEC examination history, custody and trading practices (including digital asset securities), and regulatory risk exposure both in the US and foreign jurisdictions. Advise on regulatory compliance throughout the transaction lifecycle under frameworks including the Investment Advisers Act, Investment Company Act, Securities Act, Exchange Act, Dodd-Frank, Volcker Rule, ERISA, SEC Marketing Rule, FINRA broker-dealer rules, AIFMD, and foreign jurisdiction equivalents (3%).