Functional Manager - Non Broking Compliance

Date: Mar 28, 2025

Location: NAVI MUMBAI, IN

Company: icicisecur

Role Title

Senior Manager

Function

Compliance- Wealth Management / PMS/ Merchant Banking

 

Reports to – Functionally

Chief Manager

Reports to – Administratively

Chief Manager

Direct Reporting From

-

 

 

 

 

We are seeking a highly motivated Compliance Professional to join our team who will be responsible for implementing the compliance processes within the organization and ensuring adherence to regulatory requirements.

The candidate should have analytical skills and ability to assess changes in regulations/ laws under which the products operate and provide guidance to other stakeholders to carry out those changes. The candidate should have acumen in interaction with exchanges / regulators / other stake holders for regulatory queries.

I. Purpose of the role:

 

 

 

 

 

 

II. Key Responsibilities (This should reflect the process/sub-process in which the position plays a role and specifically indicate the actions to be taken.)

  • Acquaint with latest and earlier regulatory changes affecting the organization and related products.
  • Take appropriate action arising out of the regulatory circulars, including any regulatory changes and updating/formulating policies.
  • Work with various stakeholders for implementing the regulatory compliances for Wealth Management Business, Portfolio Management Services, Investment Advisory, Merchant Banking, etc. Ensure End to End Implementation of regulatory circulars including tracking all developments.
  • Ensure timely response to the regulators for data requirement and observation noted.
  • Making policy Suggestions/Representations to MIIs and providing feedback on draft proposals from regulators.
  • Stay updated on relevant laws, regulations, and industry standards and engage with intermediaries/broker forums for representing the Company.
  • Ensure that all compliance activities align with regulatory requirements and organizational policies.
  • Ensure that relevant Regulatory submissions are made on timely manner.
  • Maintain accurate and up-to-date documentation of compliance activities and procedures.

Note:  Additional responsibilities may be added from time to time depending on organisational requirements.

 

Skills required for the Profile:

  1. The candidate should have understanding of regulations, strong analytical and logical thinking, and ability to engage and influence cross functional teams.
  2. Skills: Strong organizational, and communication skills. Proficiency in compliance management software and tools.
  3. Attention to Detail: High level of accuracy and attention to detail in reviewing documentation and assessing compliance.
  4. Ethics: Demonstrated integrity and ability to handle sensitive information with confidentiality.
  5. The candidate should have ability of problem solving and provide guidance to internal teams.
  6. Overall  3-5 years of experience with Wealth Management/ PMS in a compliance function managing regulatory compliances.
  7. Proven experience in compliance, audit, or risk management.

Qualification:

Master’s Degree in Business, Finance, Law, CA/CS or a related field (Master’s degree or professional certification preferred) AND CISA/DISA certification.

Certifications in Capital Market/area of Audit will be added advantage