Compliance Head - Global Investment Firm
- Posted On: 2025-10-09 20:03:52
- Openings: 10
- Applicants: 0
Job Description
Job Description
Responsibilities:
- Oversee day-to-day compliance including updating and enforcing the Firm's Compliance Manual and Code of Ethics, regulatory filings, handling issues and questions related to trading activities/investment deals and assisting with AML and background checks related to counterparties on investment deals
- Deliver compliance training (as needed), assist with email review and escalate issues to the Global CCO in ensuring compliance with applicable laws/statutes
- Assist in regulatory and compliance filing activities, reviewing fund activity to detect any potential compliance issues, and implementing and executing corrective actions to compliance issues
- Act as the Firm's primary contact with external regulators, specifically MAS and SEBI
Qualifications:
- The candidate must have India regulatory experience ideally in the private market and ability to manage SEBI given deal flow/pipeline.
- 10+ years of work experience in a compliance or regulatory-related function within an SEC, FCA, SEBI and/or MAS regulated firm or the relevant experience with a law firm or consulting firm
- Additional legal or compliance education and/or law degree is advantageous but not essential
Location : Mumbai
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