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Compliance Manager - Stock Broking

Taglynk
Gandhinagar, GJ, IN
Full-time4 - 8 yrs
4ds ago0 view0 clicked apply

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About the Role

You will be responsible for the end-to-end compliance lifecycle, from product development and marketing approvals to real-time surveillance and regulatory reporting. This is a hands-on role requiring a mix of regulatory expertise, analytical rigour, and a product-first mindset.

What You Will Do

  • Advertisement & Marketing Approval: Review and provide compliance sign-off on all marketing collateral, social media content, and app notifications.
  • Liaise with Stock Exchanges (NSE/BSE/MCX) for prior approval of advertisements and ensure adherence to the latest SEBI Code of Advertisement.

Regulatory Intelligence (Circular Management):

  • Daily tracking of SEBI and Exchange circulars.
  • Interpret and disseminate impact analysis to relevant departments such as Product, Tech, and Operations.
  • Drive implementation of new guidelines within specified timelines.

Surveillance & AML:

  • Monitor and resolve real-time surveillance alerts to detect and report suspicious trading patterns or market abuse.
  • Oversee the AML/KYC framework, including risk categorization, PMLA reporting (STR/CTR), and periodic audits of the onboarding flow.

Audits & Inspections:

  • Manage and coordinate Internal Audits, System Audits, and Concurrent Audits.
  • Act as the primary point of contact for SEBI/Exchange inspections, ensuring data accuracy and timely submission of responses.

Reporting & Filings:

  • Ensure 100% adherence to the Compliance Calendar covering daily, monthly, quarterly, and annual filings.
  • Monitor the investor grievance redressal system (SCORES/internal) and drive prompt resolution.

Product Compliance:

  • Perform Pre-Prod Audits on new features such as F&O, MTF, SIP, etc., to ensure they meet the Compliant-by-Design standard.
  • Provide sign-off on control testing reports before any feature goes live.

What You Should Have

Mandatory / Core Requirements:

  • Experience: 4–8 years of relevant experience, preferably in Stock Broking Compliance.
  • Strong understanding of SEBI regulations, Stock Exchange requirements, and Exchange bylaws.
  • Hands-on experience with regulatory compliance, reporting, audits, and inspections.
  • Strong exposure to NSE/BSE/MCX regulatory requirements.
  • Good understanding of PMLA, AML/KYC and regulatory reporting.
  • Ability to independently manage compliance activities and projects.
  • Strong analytical and problem-solving skills.
  • Ability to work closely with Product, Tech, Operations, and other business teams.
  • Qualification: CA/CS/MBA/Finance/Commerce or a relevant professional qualification.

Good to Have:

  • Prior experience with SEBI.
  • Experience in Fintech/Digital Broking.
  • NISM certifications.
  • Experience in Advertisement/Marketing approvals with Stock Exchanges.
  • Experience with Product Compliance / Compliant-by-Design frameworks.
  • Exposure to real-time surveillance and market abuse monitoring.
  • Experience handling SEBI/Exchange inspections independently.
  • Experience across multiple jurisdictions or regulatory frameworks.


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