Role & responsibilities
- Handling Compliance with above mentioned regulations pertaining to Mutual Fund & Insurance Distribution Business of the Bank.
- Circulating action points arising out of regulatory circulars / notifications / communications and pro-active follow up with the stakeholders ensuring timely implementation of the same.
- Reviewing existing and new processes and handling correspondences with the regulators on Compliance related matters.
- Handling Onsite Regulatory Inspections of SEBI, IRDA
- Providing clarifications on queries raised by stakeholders within the Bank and from Group entities on Compliance related matters.
- Drafting and vetting of various submissions to be made to the ACB / Board.
- Submission of various regulatory reports from time to time.
- People Management or Self-Management Responsibilities Need to interaction with various regulatory authorities viz. SEBI, IRDA.
- Need to interact with the middle management and senior management of the Bank.
Skills Required
Due Diligence, Compliance Auditing, Vendor Management, Data Privacy, policy development , Stakeholder Engagement