5-10 years (US-qualified) experience, gained in a top-tier US law firm A strong grasp of contractual and commercial issues relevant to proprietary trading firms Knowledge and ability to support the regulatory team in navigating US securities laws, SEC/ FINRA regulations and money transmission laws as it applies to proprietary trading firms and experience dealing with regulatory agencies such as the SEC and FINRA An interest and/or understanding of the crypto industry, i.e. main players, types of tokens, token governance, DAOs, blockchain foundations