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Compliance Officer

Compliance Officer

EquirusMumbai, Mumbai (district)
1 day ago
Job description

Qualification & Experience :

  • Graduate & above, MBA / CS (preferred).
  • Must have Broking / DP Compliance experience.
  • Minimum 4-5 years of work experience with Stock Broking & DP entity.
  • NISM III-A Securities Intermediaries Compliance (non-fund) Certified & NISM VI Depository Operations Continuing Professional Education Program.

Roles & Responsibilities :

  • Ensuring & implementing compliances under SEBI (Stockbrokers) Regulations, SEBI (Research Analysts) Regulations, SEBI (Depositories and Participants) Regulations, SEBI (Prohibition of Insider Trading) Regulations, 2015, all other applicable laws & circulars, notification, rules issued thereunder.
  • Ensuring compliance of Wealth Distribution, RA, DP, Broking, Distribution and all other products that is offered by the company.
  • Liaising with exchange, depositories & Auditors for all matters.
  • Ensuring periodic & instance based operational reporting / filing relating to Exchange, Depository, FATCA / CRS etc.
  • Review & updating of all applicable policies, forms, documents in line with exchange & DP guidelines.
  • Onboarding of broking / DP clients in line KYC, KRA, CKYC guidelines.
  • Handling concurrent, internal / systems / cyber security audits etc. and inspections by Exchange, SEBI, CDSL etc.
  • Drafting, Vetting & executing various commercial / business contracts and agreements
  • Handling investor grievance.
  • Interacting with the Board of Directors as needed.
  • Any other compliance matters assigned from time to time.
  • Ability to communicate well at all levels and directly engage with the Board of Directors and Managing Director on all compliance related aspects.
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