Compliance Officer/Manager Role)
Job Location - Worli, Mumbai
CTC- upto 16 lacs
- Monitoring of ongoing compliance and reporting as required under SEBI AIF and PMS regulation
- Preparation and submission of required monthly, quarterly, annual regulatory/ CTR and other compliance filings, reports, & disclosures to SEBI and other relevant authorities like trustees, custodians, RBI, etc.
- Liasoning and co-ordinating with Regulator for PMS, AIF compliance and queries
- Monitoring ongoing and event-based submissions with RBI and Income Tax (FATCA/CRS, FIRMS, etc)
- Review, Preparation/Up-dation of Private Placement Memorandum and amendments including to Trust Deed, KYC documents/Contribution agreements/ distribution agreements and intimation to regulatory Authorities wherever required.
- Co-ordinate with various service providers/vendors/Forums for various compliance related matters pertaining to AIF and PMS.
- Liasoning with Internal auditors and statutory auditors and effectively handling SEBI inspections; Interact with auditors and other external parties for various regulatory requirements/ other routine regulatory filings/ compliances.
- Co-ordinating with counsels for legal support, opinions and clarifications
- Monitor changes in SEBI regulations, directives, and circulars to ensure that the organisation's practices and policies remain up-to-date and compliant.
- Liasoning with product and sales team on products and filings Preparation / Up-dation of Private Placement Memorandum and amendments including Trust Deed Review of Application Form, literature, factsheets, communiques and communications Regulatory reporting - Filings monthly / Quarterly report reports, annual CTR.
- Liasoning with product and sales team on products and filings with regulator.
- Conducting and arranging Committee meetings - valuation committee, investment Management committee; also to maintain minutes of all committee meetings.
- Develop, implement, and manage organisational compliance policies and procedures in line with applicable laws, regulations, and industry best practices.
- Review of marketing material and other marketing/sales documents from a regulatory perspective; inclusive of other advertisement literature, factsheets and communications.
- Drafting and vetting various agreements, legal documents, policies, and standard operating procedures.
- Collaborate with internal departments to provide guidance on compliance-related matters.
- Maintain comprehensive and accurate records of compliance activities and documentation, ensuring easy access for internal and external review.
- Co-Jointly work with Group compliance team for compliances relevant to other verticals.
Education:
- CS/Post Graduate with Degree in Law is preferred.
- NISM Series-III-A: Securities Intermediaries Compliance (Non-Fund) Certification Examination will be an added advantage.
Desired Candidate Profile:
- Min. 3 -5 years of experience handling the compliance, legal, functions in allied industries (AIF / PMS) having a working knowledge of SEBI AIF & PMS Regulations in particular.
- Excellent in MS Office (Word, PowerPoint & Excel)
- Excellent communication skills in English (oral and written)
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