Compliance Officer_ Mutual Funds_ Gurgaon
- To ensure, monitor and comply with SEBI Regulations for Mutual Fund and Portfolio Management Services.
- Drafting and Vetting of Scheme Information Document, Statement of Additional Information and other statutory documents including documents pertaining to PMS functions.
- Ensuring timely and correct Periodical Reporting to Regulatory Authority such SEBI, RBI, AMFI and Board of AMC and Trustee Company.
- Assisting in Handling of Statutory Audit, SEBI Audit, Internal Audit, etc.
- Checking of SAST limits as per SEBI Regulations.
- Monitoring & reporting of compliances relating to investors' servicing to statutory authorities.
- Approving various marketing materials
- Providing assistance to the MD and Compliance.
- Coordinating with the departments and compiling the documents and reports.
- Sending compliance mails to SEBI/AMFI (Filing of compliances reports in accordance with SEBI and AMFI applicable to Mutual Funds.)
- Preparing the disclosures, holdings, declarations for the Directors of AMC, Trustees and employees (access and non-access) and Fund Management Team as per SEBI / AMFI regulations on quarterly, half yearly and annual basis.
- Maintaining the records of the letters, files and all type of disclosures, holdings, declarations, documents like reports/notes, SEBI - AMFI documents filing, policies, manuals etc.
- Screening the mails and taking the appropriate action instructed by Compliance officer and forwarding the mail to the concerned department.
- Drafting & Clearances of all the Advertisements, Notices and Notice cum addendum published and Drafting of Notice and Notice cum Addendum related to Compliance
- Scrutinizing and receiving the templates given by the employees.
- Compiling Key personnel details along with its Preclearance form if any securities traded for audit purpose.
- Reviewing & updating internal policies/ manuals at regular intervals.
- Coordinating for various Audits in the organization.
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