Posted By
Posted in
Banking & Finance
Job Code
1620567

Key Responsibilities
AML Compliance:
- Develop and enforce AML policies per PMLA, SEBI, and FIU-IND guidelines, including KYC/CKYC and client due diligence.
- Monitor transactions using compliance or surveillance tools, identify suspicious activities, and assist in filing reports (e.g., STRs) with FIU-IND.
- Conduct annual AML risk assessments and implement mitigation strategies for money laundering/terrorist financing risks.
- Ensure closure of alerts generated by Stock Exchange, Depository, and internal systems.
- Perform client risk profiling to categorize clients based on risk levels.
Advertisement Compliance:
- Review advertisements, promotional materials, social media content, and client communications per SEBIs advertisement code.
- Obtain prior approvals from NSE/BSE and verify digital ad identities.
- Monitor advertisement compliance to avoid penalties and align with SEBIs proposed common advertisement code.
- Partner with marketing to embed compliance in content creation workflows.
General Compliance:
- Understand SEBI (Stock-Brokers, IA, RA, DP) Regulations, covering trade surveillance, insider trading prevention, settlements, and periodic reporting (e.g., surveillance reporting, System Audit Reports).
- Preparing reporting documents with respect to SEBI/exchange inspections & Audit.
- Stay informed on regulatory updates via industry resources (e.g., seminars, SEBI circulars).
- Monitoring daily/weekly/Halfy-yearly/yearly compliance calendar with respect to StockBroker & DP regulation.
Collaboration and Reporting:
- Work with operations, legal, and marketing teams to integrate AML and advertisement compliance into workflows.
- Prepare and submit AML and advertisement compliance reports to the Compliance Officer annually and as needed.
- Mentor junior staff on AML and advertisement guidelines, aligning with industry standards.
Required Qualifications and Experience
- Bachelors degree in Law (LLB), Commerce, Finance, or related field; postgraduate qualifications.
- 8-12 years of experience in compliance within stockbroking, with at least 4-5 years in AML and 2-3 years in advertisement/marketing compliance.
- Certifications: NISM Series XXIV (AML and CFT Provisions in Securities Markets) highly preferred;.
- Proven expertise in PMLA, FIU-IND reporting, SEBI advertisement codes, and exchange guidelines.
Key Skills and Competencies
- Deep knowledge of PMLA, FIU-IND reporting, SEBI advertisement regulations, and familiarity with SEBI/exchange rules (Stock-Brokers, IA, RA, DP).
- Strong analytical skills for transaction monitoring, risk profiling, and alert closure using compliance tools.
- Detail-oriented review skills for content and approvals.
- Proficiency in digital compliance tools, platforms (e.g., trackwizz).
- Excellent communication for training, reporting, and regulatory coordination.
- Proactive risk identification and ethical decision-making
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Posted By
Posted in
Banking & Finance
Job Code
1620567