Green Lane Talent Management
Website:
greenlanetalent.com
Job details:
Job Title: Manager – Broking Compliance
Reporting To: Vice President – Compliance
Location: Lower Parel, Mumbai
Position Overview
The Manager – Broking Compliance will oversee end-to-end regulatory compliance, secretarial governance, and regulatory reporting for Institutional Broking, Depository Participant (DP) services, Research Analysis, and Offshore operations. This role acts as a primary liaison with key market regulators and ensures robust adherence to domestic and international regulatory standards.
Key Responsibilities
- Regulatory Liaison: Act as a key interface with SEBI, Stock Exchanges (NSE/BSE), Depositories (NSDL/CDSL), and offshore regulators (e.g., MAS, FCA, SEC, FINRA).
- Statutory Submissions & MIS: Ensure accurate and timely submission of daily, weekly, monthly, quarterly, and annual regulatory filings, maintaining comprehensive compliance MIS trackers for senior management.
- Audit & Inspection Management: Coordinate and lead internal audits, system audits, cybersecurity reviews, and regulatory inspections conducted by SEBI, Exchanges, and Depositories.
- Regulatory Dissemination & Training: Monitor and interpret regulatory circulars, assess operational impact, update policies, and conduct ongoing compliance training for internal stakeholders.
- Surveillance & Ethics Governance: Oversee Anti-Money Laundering (AML) frameworks, Code of Conduct adherence, employee personal trading approvals, and trade surveillance activities.
- Secretarial & Policy Vetting: Assist in secretarial compliance under the Companies Act and Secretarial Standards; review corporate communications and marketing materials from a compliance lens.
Qualifications & Experience
- Education: Graduate/Post-Graduate in Law, Commerce, or Finance. CS qualification is highly desirable.
- Experience: 4–5 years of core compliance experience within a reputed institutional equity broking firm or capital markets setup.
Key Competencies
- Deep technical knowledge of SEBI broking regulations, exchange bye-laws, DP regulations, and Research Analyst (RA) guidelines.
- Familiarity with offshore regulatory compliance frameworks (MAS/FCA/FINRA/SEC) is a distinct advantage.
- Superior drafting and business communication skills.
- Ability to prioritize and execute multiple regulatory deadlines in a fast-paced environment.
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