- Hands on experience in handling Compliances related to the Capital and Commodities Markets(Equity, Derivatives, Commodities and Currency market segments including KYC, DP)
- Defining the necessary level of knowledge on existing and emerging regulatory compliance requirements across the organization.
- Developing the annual compliance work plan that reflects the organization's unique characteristics.
- Periodically revising the compliance plan in light of changes.
- Guiding the compliance team in a productive and professional way.
- Overseeing and monitoring the implementation of the compliance program.
- Providing strategic direction to the management team on compliance and preparing and presenting clear and concise compliance reports to the Board.
- Highly skilled in interfacing with SEBI and the Stock Exchanges on compliance issues
- Proven capability to coordinate Inspections conducted by the Regulator and Exchanges, Internal audits, reviews, and examinations.
- Providing guidance, advice, and/or training and educational programs, to improve business' understanding of related laws and regulatory requirements including Anti-money laundering.
- Developing policies and programs that encourage managers and employees to report suspected fraud and other improprieties, without fear of retaliation.
- Developing policies and processes for compliance related work
- Coordinating internal compliance review and monitoring activities, including periodic reviews of departments.
- Independently investigating and acting on matters related to compliance.
- Monitoring external review processes
- Expertise in handling crisis management in a high pressure environment and to identify and prioritize tasks at hand.
- Knowledge of operations and risk with regard to DP and KYC
Didn’t find the job appropriate? Report this Job