Location
Surat
Experience
1 - 5 Years
No. of Vacancy
1
Department
Compliance
Job Description:
Role & responsibilities
·
Develop,
implement, and manage the company's Regulatory compliance requirements.
·
Monitor
and analyze trading activities for any irregularities or compliance.
·
Conduct
regular audits and risk assessments.
·
Implementation
of all regulatory changes
·
Provide
compliance training and support to employees.
·
Stay
updated with regulatory changes and ensure company policies are updated
accordingly.
·
Prepare
and submit compliance reports to regulatory bodies.
·
Collaborate
with internal and external stakeholders to address compliance issues.
·
Ensuring
SEBI compliances for Broking, Research Analyst, PMS, Depository Participant.
·
Co-ordinate
with Exchanges, Depositories, SEBI for various inspections and responding to
queries.
·
Co-ordinate
with Internal auditors, system auditors and various other audits.
·
Liasoning
with product and sales team for getting empaneled with various fund houses,
AMC's and AIF's for distribution of third party financial products
Qualifications:
Education: •
CS/CA/LLB/MBA or candidates with compliance experience
• Additional
certifications such as NISM Series IIIA (Compliance Officer Module) or NISM
Series VII (Securities Operations & Risk Management) are desirable.
Experience: • 3-5
years of relevant experience in compliance within Institutional Equities or a
broking/investment firm.
• Experience dealing
with SEBI, NSE, BSE, and understanding of institutional investor categories
(FPIs, Mutual Funds, AIFs, and PMS).
Skills & Competencies:
• Strong
knowledge of SEBI regulations, equity market structure, and institutional
trading norms.
• Sound skill of
drafting regulatory correspondence and other documents of business, compliances
etc.
• Excellent
communication skills – ability to interact effectively with trading desks,
senior management, and regulators.
• Proficiency in
Excel, Word, and exposure to trading and surveillance systems.