Key Responsibilities:
- Ensure compliance with regulatory frameworks of BSE, NSE, INX, IFSC, and SEBI.
- Monitor and implement internal control systems to meet statutory and exchange guidelines.
- Prepare and submit periodic compliance reports, returns, and disclosures to exchanges and regulators.
- Liaise with exchanges, depositories, and regulatory bodies for all compliance-related matters.
- Conduct internal audits and inspections to identify compliance gaps and suggest corrective actions.
- Maintain updated records of circulars, notifications, and amendments from SEBI and exchanges.
- Oversee KYC, AML, and client onboarding procedures as per exchange and regulatory norms.
- Guide internal teams regarding compliance procedures and regulatory updates.
- Handle queries or inspections from regulatory authorities and ensure timely responses.
Required Skills & Qualifications:
- Graduate / Postgraduate in Commerce, Finance, Law, or related field.
- Minimum 3 years of experience in compliance within a stock broking or capital market organization.
- Strong understanding of BSE, NSE, INX, IFSC, and SEBI guidelines.
- Excellent knowledge of exchange reporting, circulars, and compliance audit processes.
- Proficiency in MS Excel, compliance tracking tools, and documentation management.
- Strong analytical, communication, and coordination skills.
Job Type: Full-time
Pay: ₹20,000.00 - ₹50,000.00 per month
Work Location: In person