FIND_THE_RIGHTJOB.
India
Opportunity to work with a leading stock broking firm in Mumbai, Andheri East.
Experience Required:
● 5+ years of experience as a Compliance Officer in a stock broking firm or financial services company. (Mandatory to have experience in Stock Broking business)
● Proven track record of managing regulatory compliance and dealing with SEBI inspections.
● Hands-on experience in developing compliance frameworks and policies.
Key Responsibilities:
1. Regulatory Compliance:
● Ensure full compliance with SEBI regulations, stock exchange rules, and other applicable laws governing the stock broking business.
● Regularly monitor and review changes in SEBI guidelines and circulars, and implement necessary updates in processes and policies.
2. Internal Audits and Inspections:
● Conduct periodic compliance audits of all business processes, systems, and client dealings.
● Prepare for SEBI, stock exchange, and internal/external audits by ensuring documentation and processes are audit-ready.
● Address audit findings and ensure timely resolution of compliance gaps.
3. Reporting and Filings:
● Prepare and submit regulatory filings, including returns, disclosures, and reports, to SEBI, exchanges (NSE/BSE), and other regulatory bodies.
● Ensure accuracy and timeliness in reporting requirements, including quarterly compliance reports and investor grievance redressal data.
4. Policy Development and Implementation:
● Develop, review, and update compliance policies, manuals, and operating procedures in line with SEBI regulations.
● Implement and oversee anti-money laundering (AML) policies, KYC norms, and risk management systems.
5. Grievance Redressal:
● Act as the point of contact for client complaints and ensure timely resolution as per regulatory guidelines.
● Maintain records of complaints and oversee effective communication with clients and regulators during the resolution process.
6. Training and Awareness:
● Conduct training sessions for employees on SEBI laws, insider trading regulations, and compliance best practices.
● Build awareness about regulatory changes and compliance expectations across departments.
7. Surveillance and Monitoring:
● Monitor employee trades, brokerage activities, and potential conflicts of interest to ensure ethical conduct.
● Use surveillance tools to identify unusual trading patterns and ensure compliance with insider trading regulations.
8. Coordination with Regulators:
● Liaise with SEBI, NSE, BSE, and other regulatory bodies for inspections, clarifications, and regulatory updates.
● Respond promptly to regulatory inquiries and notices while maintaining a professional rapport with regulators.
Key Skills & Competencies:
● Technical Knowledge:
○ Strong understanding of SEBI laws, insider trading regulations, AML guidelines, and stock exchange rules.
○ Familiarity with KYC norms, investor protection frameworks, and compliance management tools.
○ Experience in handling SEBI inspections and regulatory audits.
● Soft Skills:
○ Strong analytical and problem-solving skills.
○ Excellent communication and interpersonal skills to interact with regulators, clients, and internal teams.
○ High attention to detail and ability to work under strict deadlines.
Educational Qualifications:
●Essential: Bachelor’s degree in Commerce, Law, Finance, or related fields.
●Preferred: MBA (Finance), CA, or LLB with certifications in compliance or SEBI regulations.
Job Type: Full-time
Pay: ₹1,000,000.00 - ₹1,200,000.00 per year
Application Question(s):
Experience:
Work Location: In person
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