This role is for one of Weekday's clients
Min Experience: 4 years
Location: Mumbai
JobType: full-time
Requirements
We are seeking a dedicated and detail-oriented Compliance Officer with at least 4+ years of experience in the financial services industry, with a strong focus on Regulatory Investment Advisory (RIA), Non-Discretionary (ND) portfolio management, Distribution, and Investment Advisory compliance functions. The role involves ensuring that all business operations, advisory services, and client interactions are conducted in full compliance with applicable laws, rules, and regulations, while safeguarding the organization's reputation and mitigating risk.
This position requires a professional with a deep understanding of compliance frameworks, SEBI/AMFI regulations, and investment advisory guidelines, combined with the ability to guide internal teams and provide actionable insights to ensure adherence across all functions.
Key Responsibilities
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