Job Profile:
1. To ensure the compliance with the following regulations:
- SEBI (Stock-Brokers) Regulations, 1992 and circulars/ notifications issued thereunder.
- SEBI (Non-Convertible Securities) Regulations, 2021 to the extent it is applicable to the functioning and operations of Stock-Brokers and/or Online Bond Platform Providers.
- SEBI (Intermediaries) Regulations, 2008
- Prevention of Money Laundering Act, 2002, as applicable for SEBI Registered Intermediaries.
2. Drafting, vetting, reviewing and negotiating the legal documents such as:
- Standard Operating Procedures
- Policy framework
- Agreements/ Contracts with third party vendors, distributors and service providers
- Website Terms and Conditions, Privacy Policies and Disclaimers etc.
3. Further Responsibilities:
- To ensure compliance with circulars, notifications, guidelines issued by the stock exchanges from time to time.
- To discuss impact analysis of applicable regulatory framework with the management, prepare and implement compliance calendar etc.
- Experience of handling internal, statutory audits & inspection from Stock Exchanges and SEBI.
- To liaison with the Stock Exchanges, Clearing Corporations, SEBI and Depositories
Competency:
- Thorough understanding of financial products. Candidates having a knowledge of fixed income instruments will have an added advantage
- Good communication & interpersonal skill
- Well versed with MS office tools (Excel and Word)
Experience: 10-12 years
Qualification: CS (preference L.L.B.)
Industry Preferred: Financial Services (Broking)
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