Analyst Compliance with a MNC Institutional Brokerage & Investment Services
Posted:
15 July 2026 (30+ days ago)
Application Deadline:
12 October 2026
Vacancies:
1 Vacancy
Job Summary
Key Areas of Responsibilities
- Advice and assist with all aspects of compliance function relating to stock broking research and investment banking
- Advice & lead all company secretarial work streams of the entities in India.
- Experience with SEBI AML and FIU related requirements
- Overall assistance to team in various Compliance Monitoring activities (Transaction Monitoring resolving Internal Surveillance System alerts RBS submissions FIU related etc.)
- Independent handling of all regulatory filings to be filed with SEBI Exchanges and Group Compliance on monthly/quarterly/half-yearly/yearly/ad-hoc basis.
- Assist in formulating and implementing Compliance policies
- Assist in Client On-boarding related activities (including KYC/ AML checks)
- Independently handling all audits and inspections
- Handling all Corporate Secretarial function of the Company
Requirements
- 8 - 14 years of experience as compliance officer and corporate secretary in Stock Broking Research and Investment Banking firm in the Compliance & Corporate Secretarial function
- Company Secretary (Mandatory)
- Postgraduate from a well-recognized university
- LLB is preferable but not a must.
- Strong written and verbal communication skills
Required Skills:
compliancebroking compliancecompany secretarySEBIregulatory complianceCompliance ManagerCompliance OfficerFinancial Intelligence UnitRisk Based Supervision