Job Description:
Secretarial & Compliance:
- Lead and manage all corporate secretarial functions of the Company.
- Ensure compliance with applicable laws including Companies Act, SEBI regulations, and other applicable statutory requirements.
- Act as a key advisor to the Board and senior management on governance, legal, and compliance matters.
- Organize Board /Committee meetings, including preparation of agendas, minutes, and follow-ups.
- Liaise with regulatory authorities such as SEBI, Stock Exchanges, and other stakeholders.
- Strengthen corporate governance practices and ensure adherence to best-in-class compliance standards.
- Manage secretarial audits, inspections, and regulatory filings.
Stockbroking Compliance Responsibilities:
- Oversee compliance with SEBI (Stock Brokers) Regulations, Exchange bye-laws, and circulars issued by Stock Exchanges (NSE/BSE).
- Ensure adherence to KYC, AML, and PMLA guidelines, including client onboarding and due diligence processes.
- Monitor compliance with trading, risk management, margin requirements, and client fund & securities segregation norms.
- Supervise regulatory reporting, submissions, and periodic filings with SEBI and Stock Exchanges.
- Handle inspections, audits, and queries from SEBI, Exchanges, and other regulatory authorities.
- Implement and monitor internal compliance systems, controls, and SOPs for broking operations.
- Stay updated on regulatory changes and ensure timely dissemination and implementation across the organization.
Legal Responsibilities:
- Head the Legal function and oversee all legal matters of the Company.
- Draft, vet, and negotiate contracts, agreements, and other legal documents.
- Manage litigation, arbitration, and dispute resolution matters.
- Provide legal advisory and opinions to business units and senior management.
- Ensure compliance with applicable legal and regulatory frameworks.
- Coordinate effectively with external legal counsel and regulatory authorities.
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