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Anirudh A Damani

Director at Artha Group

Last Active: 27 November 2025

Job Views:  
266
Applications:  77
Recruiter Actions:  0

Job Code

1628984

Artha Group - Head - Compliance

Posted 1 month ago
Posted 1 month ago

- Artha Group is a performance-led investment house managing over - 1,250 crores (USD 150M+) across five fund platforms including Artha Venture Fund, Artha Select Fund, and Artha Continuum Fund.

- Our vertically integrated model spans venture capital, renewable energy assets, and global fund-of-fund structures.

- With 130+ investments and 30+ successful exits, we operate with discipline, foresight, and long-term conviction.

- In a firm where multiple entities, funds, and jurisdictions converge, compliance is not just a support function it's an institutional safeguard.

- We are now seeking a Head of Compliance to lead our governance and regulatory operations with precision, velocity, and zero deviation.

Role Overview:

- As the Head of Compliance, you will lead Artha Group's enterprise-wide compliance framework across domestic and global fund structures, private entities, LLPs, and investor-facing mandates.

- This is a senior leadership role best suited for a Company Secretary with a decade of experience and deep familiarity with SEBI-regulated AIFs and fund governance protocols.

- Your core responsibility is to protect the firm without slowing its momentum.

- You will establish robust compliance systems, ensure timely reporting across regulators, elevate risk visibility for leadership, and uphold the integrity of every statutory and investor-facing process.

- Beyond rule-following, your role is to bring structure, foresight, and credibility to every legal or regulatory interface Artha touches.

- Function: Regulatory Compliance | Legal Governance | Risk Mitigation.

Level: Department Head.

Key Responsibilities:

- Governance, Frameworks & Regulatory Leadership.

- Design and manage the compliance operating system for Artha's multi-entity structure including LLPs, Pvt Ltds, domestic AIFs, and offshore vehicles.

- Serve as the principal custodian of all group-level filings, registers, and board governance documentation.

- Develop and enforce a central compliance calendar that integrates statutory, regulatory, fund-specific, and investor requirements ensuring zero lapses across reporting cycles.

- SEBI, AIF & Fund-Level Compliance.

- Oversee complete adherence to SEBI (AIF) Regulations, CSCRF requirements, and associated circulars across all regulated funds.

- Lead compliance during fund audits, registration reviews, and investor grievance resolutions.

- Ensure proper execution of drawdowns, unit allotments, investor reporting, and SEBI inspection readiness across fund platforms.

- Serve as the regulatory interface for fund formation, trust structuring, IFSCA filings, and PPM reviews ensuring seamless alignment between intent, documentation, and statutory benchmarks.

- Investor Compliance & Onboarding Protocols.

- Build and maintain compliant investor journeys across onboarding, AML/KYC verifications, contribution acknowledgements, demat declarations, and policy undertakings.

- Ensure investor grievance redressal systems are active, audit-logged, and aligned with SEBI expectations.

- Maintain comprehensive, digital documentation of investor communications and compliance-related resolutions.

- Entity & Operational Compliance.

- Manage end-to-end entity-level compliance spanning ROC/MCA filings, director appointments, statutory registers, capital restructuring, and name changes.

- Ensure alignment across labour regulations, Shops & Establishment Acts, PF/ESI provisions, and employment compliances in collaboration with HR and legal.

- Coordinate with tax advisors and finance teams on cross-border and domestic compliance matters, including capital flow documentation, foreign investment disclosures, and regulatory declarations.

- Risk Management, Reporting & Documentation.

- Establish reporting rhythms for leadership surfacing upcoming obligations, deviation risks, audit timelines, and resolution updates.

- Ensure documentation standards across all filings, registers, and submissions are audit-grade, version-controlled, and inspection-ready.

- Maintain governance discipline across digital folders, CLM systems, investor records, and regulatory communications.

- Leadership & Internal Collaboration.

- Build and manage a high-trust compliance team with a reputation for precision, pace, and discretion.

- Serve as the go-to partner for legal, finance, investment, and operations teams ensuring compliance is embedded in strategy, not isolated from it.

- Champion a culture of documentation, deadline integrity, and compliance-first decision making across the organization.

Who You Are:

- Qualified Company Secretary (CS) with 10+ years of compliance experience, including 4-5 years in SEBI-regulated fund environments.

- Demonstrated expertise in managing governance across complex fund and entity structures both domestic and cross-border.

- Known for building systems that scale and flag risks before they escalate.

- Comfortable representing the firm before auditors, regulators, and statutory bodies with confidence and clarity.

- Exceptional attention to detail, yet grounded in commercial understanding and operational context.

- Proficient with digital compliance systems, workflow trackers, and regulatory documentation management.

Compensation:

Total Annual Compensation: - 37,50,000.

Fixed Annual Salary: - 32,00,000.

Retention bonus: - 3,00,000 (Paid annually).

ESOPS: 2,50,000 (as per vesting policy).

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Posted By

user_img

Anirudh A Damani

Director at Artha Group

Last Active: 27 November 2025

Job Views:  
266
Applications:  77
Recruiter Actions:  0

Job Code

1628984

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