About the Company:
The client's goal is to build long-term relationships and become one of the most trusted names in Pakistan's capital markets.
Role Overview – Compliance Officer
Key Responsibilities
- Regulatory Oversight: Ensure full adherence to the Securities Act, PSX Rulebook, and SECP directives.
- AML/CFT Monitoring: Implement and manage Anti-Money Laundering (AML) and Counter-Financing of Terrorism (CFT) protocols, including Know Your Customer (KYC) and Ultimate Beneficial Owner (UBO) verification.
- Audit & Reporting: Coordinate internal audits and timely submission of periodic compliance reports to regulatory bodies.
- Risk Mitigation: Identify potential breaches in trading activities and operational procedures; develop corrective action plans.
- Advisory: Guide the Board and staff on regulatory updates and ethical trading practices.
Key Requirements:
- Education: Bachelors degree in Finance, Accounting, or a related field (ACCA/ACMA/CA Inter preferred).
- Experience: Minimum 2–3 years of experience in a compliance or internal audit role within a TREC Holder firm or the financial services sector.
- Knowledge: Deep understanding of the PSX Regulations, Central Depository Company (CDC) procedures, and National Clearing Company (NCCPL) protocols.
- Skills: Exceptional analytical skills, high ethical standards, and proficiency in regulatory documentation.
Other Details:
Experience: 2 years
Location: Karachi
Job Type: Full-time
Work Location: In person