Compliance officer for a newly set up AMC
Experience
5–10 years of relevant experience in :
- SEBI-registered intermediaries (e.g., PMS, mutual funds, AIFs)
- Compliance, legal, or risk management roles
- Regulatory reporting, investor grievance redressal, AML, KYC compliance
- Experience interacting with SEBI, RBI, or other financial regulators
- Proven understanding of : AIF operations and structures (particularly Category III); Regulatory reporting and filings (PMLA, SEBI returns, FATCA, CRS, etc.)
Responsibilities
Ensure compliance with SEBI AIF Regulations, 2012 and any circularsFile periodic reports to SEBI (e.g., quarterly reports under SEBI circulars)Monitor and report violations to SEBIEnsure the fund's activities are in line with its private placement memorandum (PPM) and governing documentsMaintain documentation related to : Investor communications and redemptions; KYC / AML compliance; Related party transactionsQualifications
Preference would be given to those having a degree in law (LLB) or CA / CS.