Duties and Responsibilities:
- Advise management on the company's compliance with laws and regulations through detailed reports.
- Create and manage effective action plans in response to audit discoveries and compliance violations.
- Regularly audit company procedures, practices, and documents to identify possible weaknesses or risks.
- Assess company operations to determine compliance risk.
- Develop and review company policies.
- Ensure all employees are educated in the latest regulations and processes.
- Resolve employee concerns about legal compliance.
- Ensuring the Compliance of AML & Employee trading policy & Code of conduct for Employees
- Assist in monitoring of Investment Risk Framework and highlight the deviations.
The role requires regulations / compliance around:
- IA and Distribution
- PMS/ AIF
- Global fund including distribution.
- NBFC - with RBI
Additional Skills:
- The ideal candidate will be professional, highly analytical, and possess excellent written and verbal communication skills.
- To prosper in this role, you should be fluent in risk management and our industry's principles.
- Implement and manage an effective compliance and investment risk management program.
- Good knowledge of regulatory requirements and procedures. Preference will be given to those having experience in handling compliances of Portfolio Manager, AIF, RIA, Distribution model of Investment products.
- Brilliant oral and written communication skills.
- Highly analytical with strong attention to detail
- Understanding of business, including interpretation of various regulations is a must.
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