We are seeking an experienced Compliance Officer to oversee regulatory adherence and operational risk management across our Broking, Global Access Market, Distribution, and Insurance verticals in GIFT City. This is a key leadership role requiring in-depth knowledge of IFSCA regulations and capital market operations.
Key Responsibilities:
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Ensure full compliance with IFSCA, SEZ, and exchange regulations, including AML/CFT frameworks.
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Lead client operations and risk management processes to ensure regulatory alignment.
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Oversee regulatory reporting and filings with SEZ authorities, IFSCA, and exchanges.
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Develop and implement internal policies, SOPs, compliance notes, and governance frameworks.
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Collaborate with business teams to support business expansion and distribution growth.
Qualifications:
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Post-graduate or qualified degree in Finance, Law, Compliance, or related disciplines.
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Minimum 5 years of experience in capital markets, broking, or financial services.
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Strong knowledge of regulatory frameworks (IFSCA, SEBI, IRDAI, etc.).
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Excellent understanding of risk controls, regulatory filings, and policy drafting.
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Demonstrated leadership and stakeholder management skills.