11 Rao Career Solutions Jobs
10-16 years
Gujarat, Gandhinagar
Compliance Officer - Capital Markets - LLB (10-16 yrs)
Rao Career Solutions
posted 2mon ago
Key skills for the job
Compliance Officer - Capital Markets
Should have experience with:
- Private Markets, helpful if experienced in various fund Regulation
- Equities
- Fixed Income
- Alternative Trading Systems/ Exchanges
- Knowledge of securities rules and regulations covering operating procedures and customer protection.
- Working knowledge of securities registration and membership requirements for IFSCA member firms.
Responsibilities:
- The candidate will be required to lead the Compliance team of Company covering Stock Broking business. Maintain oversight of the developments in the Stock Broking regulatory environment to proactively manage the potential regulatory risk/aml risk/kyc risk /ops risk / exposure of affected divisions/departments.
- Develop and maintain all relevant Policies and Procedures based upon regulatory requirements, industry practices and established internal controls, including client onboarding, KYC, AML, CIP, BCP, insider and personal account handling, disclosures.
- Perform all daily, weekly, monthly and quarterly compliance reviews (including transaction reviews).
- Develop and implement necessary risk assessment reviews including internal audits and automated surveillance/monitoring programs to review the firm's activities to remain in compliance with all aspects of industry standards (i.e. from sales practices to trading activity).
- Implement and maintain the mandated Anti-Money Laundering program covering the Broker/Dealer activities.
- Provide Compliance approval of all new accounts regarding "Know Your Customer" and the firm's Customer Identification Procedures.
- Provide advice and training to the firm's management and employees regarding applicable securities rules, regulations and firm policies.
- Demonstrate excellent communication skills, both oral and written. Should have the ability and experience to draft clear and professional correspondence, policies and procedures and other documents. Must be able to correspond with all regulators and auditors.
- Work as liaison to the firm's management and legal counsel to ensure appropriate support if needed for any and all litigation, arbitration, reparation proceedings and all other regulatory, criminal and civil matters revolving around the firm's Broker/Dealer activities.
- Demonstrate ability to effectively analyze situations, absorb large amounts of information and apply past experience and judgment to resolve issues in a timely manner
- Develop implement and monitor supervisory policies and procedures relating to sales, trading, operations, custody and placement of applicable securities
- Oversee trade related compliance activities, including the reporting for fixed-income and equity securities, attend best execution committee meetings, and raise compliance concerns to the Management Committee
- Supervision of Back Office Operations (including client onboarding, trading, placement)
- Advise business/support units on IFSCA/ Exchange regulations, rules and standards, including keeping them informed of the developments in this area
Requirements:
- Bachelor's degree in Law (LLB) from a recognized Indian university.
- Minimum of 10-15 years' experience in securities compliance and/or legal experience in securities compliance, emphasis on sales and sales trading, institutional, retail, fixed- income, options and hedge fund activities
- Fluent with all current IFSCA/ SEBI issues and concerns
- Working knowledge of IFSCA, SEBI and Exchange rules and regulations
- Strong knowledge of Indian laws and regulatory framework
- Ability to work independently and handle multiple tasks simultaneously in a fast-paced environment.
- Strong teamwork and collaboration skills.
Functional Areas: Other
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