Compliance Officer

HTIC Global

Ernakulam

On-site

INR 1,800,000 - 2,500,000

Full time

5 days ago
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Job summary

HTIC Global is seeking a Compliance Officer in Kochi, Kerala. The role requires 5+ years in compliance, audit, risk management, or regulatory functions, with strong regulatory knowledge and AML/CFT exposure.

The officer will oversee filings, implement policies, and coordinate with internal teams to ensure adherence across multi-entity operations. The position is work from office, with focus on maintaining regulatory standards and supporting audits and risk assessments within a multi-entity

Qualifications

  • Bachelor’s degree in Law, Business Administration, Finance, or a related field.
  • Minimum: 5+ years in compliance, audit, risk management, or regulatory functions.
  • Experience in AML (Anti-Money Laundering) & CFT (Combating the Financing of Terrorism) compliance.
  • Exposure to BPO/back-office or multi-entity environments is a plus.
  • Experience in maintaining records, monitoring statutory requirements, and supporting filings or audits.

Responsibilities

  • Regulatory Adherence – Ensure operations fully comply with applicable laws, regulations, and internal policies.
  • Statutory Filings & Submissions – Oversee accuracy and timeliness of filings with regulatory authorities.
  • Policy Implementation & Monitoring – Develop, implement, and enforce compliance procedures and policies.
  • Risk Assessment & Management – Conduct regular risk assessments and monitor preventive actions.
  • Reporting & Monitoring – Maintain compliance records and provide regular updates and performance reports.
  • Investigation & Remediation – Investigate potential breaches and implement corrective measures.
  • Management Assurance – Provide periodic assurance to senior management on overall compliance status.

Skills

Regulatory knowledge
Risk assessment
Compliance management
Auditing support
Policy implementation

Education

Bachelor’s degree in Law/Business Admin/Finance/Accounting

Job description

Location: Kochi, Kerala

Experience : Minimum: 5+ years in compliance, audit, risk management, or regulatory functions.

Work Model: Work From Office

The Compliance Officer plays a critical role in safeguarding the integrity of client entities by ensuring that their operations adhere to all relevant legal, regulatory, and statutory requirements. The primary responsibility is to support and oversee the compliance framework for the allotted entities, ensuring that filings and submissions to government authorities are accurate, timely, and aligned with regulatory expectations.

This role involves identifying applicable laws, monitoring potential areas of non-adherence, and assisting in the implementation of effective strategies to ensure compliance across assigned entities. The Compliance Officer will also help foster a culture of responsibility by maintaining policies, conducting basic risk reviews, and coordinating with internal teams and external consultants to promote consistent regulatory adherence.

By ensuring that all assigned entities meet the required standards of regulatory and ethical conduct, the Compliance Officer contributes to maintaining their legal standing, operational stability, and reputation.

Primary duties and responsibilities:
  • Regulatory Adherence – Ensure the organization’s operations for allotted entities fully comply with applicable laws, regulations, and internal policies.
  • Statutory Filings & Submissions – Oversee accuracy and timeliness of all filings and submissions to regulatory authorities.
  • Policy Implementation & Monitoring – Develop, implement, and enforce compliance procedures and policies; ensure business units operate within legal and regulatory frameworks.
  • Risk Assessment & Management – Conduct regular risk assessments to identify potential areas of non-compliance; recommend and monitor preventive and corrective actions.
  • Reporting & Monitoring – Maintain compliance records and reporting systems; provide regular updates and performance reports.
  • Investigation & Remediation – Investigate potential compliance breaches, implement corrective measures, and ensure preventive actions are in place.
  • Management Assurance – Provide periodic assurance to senior management on the overall compliance status, highlighting key risks, corrective actions taken, and areas requiring attention.
Secondary duties and responsibilities:
  • Collaboration with Departments – Coordinate with internal teams and external consultants to ensure compliance adherence across all business operations.
  • Training & Awareness – Facilitate training sessions and awareness programs for employees regarding regulatory requirements and internal policies.
  • Monitoring Regulatory Changes – Track updates in laws and regulations; ensure timely amendments to policies and procedures.
  • Audit Support – Assist in internal and external audits, ensuring compliance issues are addressed and audit recommendations implemented.
  • Continuous Improvement – Identify trends, recurring issues, or process gaps; recommend improvements to enhance efficiency and reduce risk exposure.
Qualification & Experience:
  • Bachelor’s degree in Law, Business Administration, Finance, Accounting, or a related field.
  • Strong knowledge or ability to understand applicable laws, regulations, and statutory requirements.
  • Minimum: 5+ years in compliance, audit, risk management, or regulatory functions.
  • Experience in maintaining records, monitoring statutory requirements, and supporting filings or audits.
  • Exposure to BPO/back-office or multi-entity environments is a plus.
  • Experience in AML (Anti-Money Laundering) & CFT (Combating the Financing of Terrorism) compliance.
  • Exposure to insurance broking, aviation, or other regulated industries.
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