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8.0 - 12.0 years

0 Lacs

Mumbai, Maharashtra, India

On-site

About us: 5paisa Capital Ltd. stands at the forefront of India&aposs fintech revolution, offering a comprehensive digital platform for retail investors and traders. With a commitment to democratizing financial services, 5paisa provides a suite of products including stocks, Futures & Options, Mutual Funds, IPOs, all accessible through user-friendly mobile applications and web platforms. Today 5paisa is a go-to platform for serious traders and investors. Role Overview: The Compliance Manager will be responsible for overseeing and implementing the organizations regulatory compliance framework, ensuring adherence to all SEBI, Exchange, and depository regulations across business verticals including Broking, Research Analyst, PMS, and DP operations. This role requires a proactive approach to regulatory intelligence, risk mitigation, and stakeholder alignment. Key Responsibilities Develop, implement, and manage the companys regulatory compliance policies and programs. Monitor, interpret, and disseminate SEBI, Exchanges, and depository circulars to relevant stakeholders. Ensure timely and accurate submissions of QSBs and regular filings to regulatory bodies. Conduct internal compliance audits and risk assessments to identify and mitigate potential risks. Coordinate with Exchanges, Depositories, and SEBI during inspections and manage timely responses to queries. Liaise with internal auditors, systems/cyber auditors, and external audit teams for end-to-end audit management. Ensure ongoing compliance for all business verticalsBroking, DP, PMS, and Research Analyst licensees. Supervise the regulatory team, enforce TATs, and ensure documentation and submissions are accurate and on time. Update internal policies to align with evolving regulatory guidelines and educate teams through policy rollouts. Provide expert guidance to internal stakeholders on the interpretation and implementation of applicable laws and circulars. Skills & Qualifications Bachelors or Masters degree in Law, Finance, or related field 812 years of experience in a regulatory compliance role, preferably with a brokerage or capital markets firm Deep understanding of SEBI, NSE/BSE, NSDL/CDSL regulations Experience handling regulatory inspections, audits, and compliance reporting Strong analytical, communication, and stakeholder management skills High attention to detail with a proactive and structured approach to problem-solving Why Join Us This isnt just another job. Its a front-row seat to the future of finance and youre invited. We value diversity in all its forms backgrounds, perspectives, experiences and are committed to building an inclusive environment where every employee feels respected, heard, and empowered to grow.We do not discriminate based on race, religion, caste, color, gender identity or expression, sexual orientation, age, marital status, disability, or any other legally protected status. Our hiring decisions are based on merit, capability, and alignment with our values always. Show more Show less

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