
Compliance Manager
2 weeks ago
This Opportunity is with a leading Stock Broking company for their office in Mumbai location
Role: Compliance Manager
Experience: 4 - 8 Years
Job Purpose:
To manage and oversee compliance within the organization. This includes ensuring that the company adheres to all compliance standards and internal policies, thereby mitigating risks and fostering a culture of integrity. The expectation and responsibility of the Compliance professional will be to understand, interpret, and guide business teams regarding new regulations emanating from SEBI/Stock Exchanges/Depositories.
Job Description:
Role & Responsibilities:
Key Responsibility
Descriptive Parameters
1. Implementation of Circulars
- Monitor new regulations, analyze the impact of the same and promptly circulate the actions to the internal stakeholders, business owners.
- Provide guidance on the implementation of the new regulations and ensure that it is sufficient to meet the regulatory expectations.
- Engage with the regulators as and when required to obtain clarity on the regulations.
- Draft representations to regulators w.r.t. implementation of regulations
- Assist business units in solving Ad-hoc queries related to
regulations, new product proposals, open compliance risks and validate the manner of risk mitigation
2. Policies Reviews
- Develop, implement, and maintain comprehensive compliance
policies and procedures.
- Review internal governance policies, regulatory mandated policies and regularly monitor compliance
- Prepare and Maintain Standard Operating Procedures for various compliance activities.
3. Regulatory Inspections, Audit & Submissions
- Assist in handling of Regulatory Investigations and Inspections.
- Assist in drafting response to regulatory enquiries/Observation Letters
Ensure relevant regulatory submissions are made in timely manner
Interact with various stakeholders to finalize the corrective actions for regulatory observations and track the status of the same.
- Facilitate internal and external audits, ensuring that audit findings are addressed and rectified promptly.
- Ensure advertisement approval are obtained as per code of advertisement.
- Coordinate with Exchanges and Internal Stakeholders for the purpose of advertisements
4. Internal Compliances
- Review and analyze employees' personal trading activities to ensure compliance with the regulatory requirements.
- Ensure that all employees are aware of and adhere to the organization's employee trading policies, including pre- clearance procedures, and reporting requirements
- Handle queries of internal stakeholders and approve account opening processes
- Maintain Freeze/Unfreeze of accounts register and co- ordinate internally for freezing/unfreezing account.
5. PMS/IRDA/Research related Compliance
- Prepare and submit compliance reports to SEBI, including annual compliance certificates and disclosures of non- compliance.
- Ensure adherence to Regulations related to research activities
- Renew IRDA License and ensure compliance of IRDA directions
Required Skillset:
Educational Qualifications
Essential MBA/CA/CS. Advanced degrees or certifications in compliance or financial regulations are a plus.
Role Requirements
- Knowledge about key regulations related to SEBI & Exchanges
- Experience of handling SEBI, Exchanges & depositories
- Should possess good communication/problem solving skills and is a quick learner.
- Also, have ability to drive outcomes when working with
stakeholders.
Experience
- Experience of at least 4-5 years in stock broking firm/NSE/BSE in the Compliance/Audit function/regulatory team or in a role with particular focus on regulatory compliances
- Prior experience in working with Stock Exchanges/stock broking firm will be preferred.
Interested Candidates can share their CV's
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