Job Details

 

Group Chief Risk Officer

  • 12 - 20 years
  • Mumbai
Industry :
Banking / Financial Services / Broking
Functional Area :
Financial Services, Banking, Investment, Insurance
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Quote job ref: 212387

Job Description
  • To lead the risk & compliance division of the investment bank and provide extensive expertise and advise to all functions. Represents the firm as general counsel with clients, external agencies and regulatory bodies and ensures compliance of the regulatory framework. Establishment of various compliance policies, procedures and oversee its implementation and updation - for all Products.
  • Maintaining control and adherence to compliance in all aspects of the investment banks operations. Responsible for developing, directing and monitoring the firm's overall compliance and surveillance programs. Responsible for overseeing business activities within the full range of applicable regulatory environments. To identify and assess the compliance risks associated with business activities and advise the management on timely basis. 
  • Compliance reviewing of investment banking documents such as NDA's, offer letters, issues agreements, etc. as may be requested by the business.
  • Compliance reviewing of infra advisory business documents such as NDA's, offer letters, etc. as may be requested by the business.
  • Engaging with the compliance and risk officials at subsidiaries.
  • Periodical compliance monitoring / reviewing of subsidiaries on compliance risk in line with the regulatory requirements and testing its implementation.
  • Assist in establishment of systems and controls and its review for the parent company and its subsidiaries.
  • Engaging with the capital market regulator as may be necessary.
  • To ensure statutory compliance with SEBI and update business groups and management on regulatory amendments/ notifications/ updates etc and the implications of the same.
  • Periodical compliance risk sensitization and training to employees on compliance aspects.
  • To identify potential areas of compliance by liberal vulnerability and risk, develop and implement corrective action plans for resolution of problematic issues and provide general guidance on how to avoid or deal with similar situations in the future.

 
Key Skills
investment banking
risk
compliance
regulation
Education
  • LLB, CS
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