- Experience in working at, or advising companies in, the financial services industry, particularly stock broking, mutual funds, lending and payment gateways.
- Competence in handling compliances mandated by SEBI, RBI, IRDA, and labour authorities.
- Ability to independently draft and set internal governance policies.
- Evaluate and weigh multiple inputs and impacts of any decision, ability to anticipate issues and estimate risks strategically, identify proactive solutions that will eliminate or mitigate risks.
- Draft and review legal documents and policies for various business lines including fin-tech, stock broking, lending, payments, mutual funds, insurance, and technology, based on relevant guidelines and applicable law.
- Identifying legal issues and risks that may affect the various businesses and ensuring compliances related thereto.
Requirements
- LL.B.
- 5-8 years of experience both at a law firm and in-house.
- Experience in the financial services sector, stock broking and mutual fund company, especially in payments industry is highly preferred.
- Overall experience strictly between 5-8 years.
- Have strong communication and influencing skills.
- In-depth understanding of how legal issues affect organisations.
- Ability to develop legal strategy and objectives, excellent knowledge and understanding of the regulatory regime and procedures.
- Ability to anticipate legal issues or risks and to - see around the corner.
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