
Position: Company Secretary cum Chief Compliance Officer
Key Responsibilities
Regulatory Compliance:
- Ensure compliance with RBI regulatory and supervisory directions for Middle Layer NBFCs.
- Design and implement a compliance testing manual aligned with RBI requirements.
- Handle RBI inspections, risk-based supervisory audits, and submission of responses.
- File statutory returns and forms with RBI and MCA.
- Monitor and report AML/KYC transactions to FIU.
- Ensure compliance with Companies Act, SEBI, RBI, FEMA (FDI) and related frameworks.
Governance & Board Support
- Manage Board and Committee governance, including preparation of agendas, notices, and minutes.
- Lead corporate actions such as mergers, capital infusion, and name changes.
- Draft and review policies under NBFC regulations, Companies Act, and SEBI guidelines.
Capital Market & Debt Compliance
- Oversee compliance for issuance and listing of debentures.
- Ensure adherence to SEBI and RBI requirements for debt instruments.
Training & Collaboration
- Facilitate training programs on compliance policies, Fair Practice Code (FPC), and KYC norms.
- Collaborate with cross-functional teams to ensure effective implementation of compliance regulations.
Candidate Profile
Qualifications: Company Secretary (CS) - mandatory
Experience: Minimum 12-15 years in NBFC/financial institutions with proven expertise in compliance, governance, and legal functions.
Skills & Competencies:
- Strong knowledge of RBI, SEBI, MCA, and FEMA regulations.
- Expertise in corporate governance, compliance testing, and regulatory audits.
- Excellent drafting and legal documentation skills.
- Ability to lead compliance culture across the organization.
- Strong communication and leadership skills.
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