To ensure compliance relating to following businesses :
1. Corporate Finance/Investment Banking and Institutional Broking
2. Proprietary Trading
3. Compliance of overseas branches and subsidiaries
4. New Products & Compliance queries- Insti
To supervise and monitor team members following compliances :
1. PFRDA - POP Compliance.
2. FATCA Compliance
3. Regulatory Representation, response on Discussion paper
4. Handling Inspection
5. New Products & Compliance queries - Retail
6. Circular tracking and dissemination
7. Tracking and implementation of Regulatory circulars
8. Institutional KYC Compliance
9. Investment Banking Mandate Approval process
10. Grey and Restricted list updation & memo
11. TRAI Compliance
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