Compliance Manager_Noida

Compliance Manager_Noida

2 Nos.
130004
Full Time
5.0 Year(s) To 10.0 Year(s)
7.00 LPA TO 14.00 LPA
Risk Management & Compliance
Any - Any Graduation
Job Description:

 

 

  • Handling Compliances and Inspections related to all exchanges, Depository and Regulatory
  • Validation and quality assurance of Inspection Reports
  • Preparation and Submission of Periodical Returns to Exchanges, Depository (Quarterly, Half Yearly, Annually)
  • Verification of KYC, KRA and the supporting documents of the Clients including Corporate, Trust, NRI and FPIs and their related compliances
  • Review and updation of KYCs as per the latest guidelines of the Regulators
  • Handling and resolving Grievances of Clients
  • Formulation/ review of PMLA Policy and their related compliances
  • Handling Independent Audits related to all exchanges, depositories and regulatory authorities ensuring best compliance
  • Successfully ensured compliance with SEBI and Exchange Circular
  • Developed and Implemented Standard Operating Procedures (SOP) for process optimization
  • Conducting Regular Inspections of Branches and Authorised Person as per the directions issued by the Exchanges.

 

 

Desired Profile / Criteria / Skills :

Experience: 5 to 10 years of relevant experience in Retail broking, wealth management.

Education: Graduate / Postgraduate in related field (MBA preferred), NISM Series VII (Preferred)

Skills Required: Compliance Monitoring, Risk Management, Internal Controls, Auditing processes, Reporting Requirements, Policy analysis, Audit management, Anti-Money Laundering and Internal Audits.

 

Company Profile

--- --- is a financial services firm in India that provides wealth management, investment banking, asset management, and institutional advisory services. It is part of the larger --- Group, headquartered in Mumbai.

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