Senior Compliance Manager

INDmoney

Mumbai

Hybrid

INR 4,000,000 - 7,000,000

Full time

14 hours ago
Be an early applicant
Application generator

An application made for this job — a tailored resume and cover letter that speak straight to the posting.

Get past ATS filters

Job summary

INDmoney seeks a Sr Manager/Associate Director – Compliance to own the end-to-end regulatory compliance framework for our capital market intermediary business. The role requires deep domain expertise, strong stakeholder management, and the ability to build scalable compliance infrastructure in a fast-growing fintech environment.

The candidate should hold CS or MBA with preference for Finance/Law, and additional certifications like NISM VII and IIIA. Hybrid location in Mumbai.

Qualifications

  • Must have deep SEBI Regulations knowledge for stock brokers and depositories.
  • Hands-on experience with capital market intermediary operations (order management, clearing, settlement, margin obligations).
  • Strong knowledge of KYC/AML frameworks including CDD/EDD and FIU-IND reporting.
  • 10+ years in stock broking compliance or capital market risk management preferred.

Responsibilities

  • Maintain SEBI Stock Broking Regulations and exchange byelaws compliance.
  • Design and implement a comprehensive policy and process framework for stock broking.
  • Plan and execute internal audits of KYC, onboarding, trading activity, back office operations, margin reporting, and settlement obligations.
  • Establish AML/CFT policy framework and monitoring with risk-based client segmentation.

Skills

Regulatory knowledge
Stakeholder management
Policy design
Audit & controls
AML/CFT knowledge

Education

Company Secretary (CS)
MBA (Finance / Law preferred)

Tools

RegTech platforms
GRC software
Transaction monitoring systems

Job description

As Sr Manager/Associate Director – Compliance, you will own the end-to-end regulatory compliance framework for INDmoney's capital market intermediary business. You will ensure adherence to Securities Laws, Depositories Act,Stock Exchange Byelaws, Stock Broking Regulations, Anti-Money Laundering (AML) Act, CDSL rules, and all other applicable regulations.

This is a senior role requiring deep domain expertise, strong stakeholder management, and the

ability to build scalable compliance infrastructure in a fast-growing fintech environment.

Education: Qualified Company Secretary (CS) or MBA (Finance / Law preferred)
Location: (Hybrid)
Preferred Certs: NISM Series VII | NISM Series IIIA
Core Responsibilities:
1. Regulatory Compliance & Surveillance
  • Maintain deep, current understanding of SEBI Stock Broking Regulations, Stock Exchange Rules & Byelaws,
  • Depository Participant Act, and all applicable circulars, notifications, and guidelines from SEBI, BSE, NSE and CDSL
  • Ensure timely and accurate implementation of regulatory changes across business functions, systems, and controls.
  • Conduct periodic compliance assessments and gap analyses; formulate proposals for policy revisions or new controls.
  • Develop a regulatory change management calendar to proactively track upcoming circulars and set internal deadlines for implementation.
2. Policy & Process Framework
  • Design, document, and continuously improve compliance policies and SOPs for the stock broking function.
  • Implement and oversee insider trading prohibition policies and processes as per SEBI (PIT) Regulations.
  • Review and update the Risk Management Framework (RMF) for the stock broking business on a regular basis
3. Internal Controls & Audit
  • Independently plan and execute internal compliance audits covering KYC, client onboarding, trading activity,back office operations, margin reporting, and settlement obligations.
  • Coordinate with external auditors and regulators during inspections, providing responses and corrective action plans.
  • Maintain an audit trail and compliance log for all regulatory interactions, filings, and action-taken reports.
  • Establish a Compliance Testing Program with monthly thematic reviews on high-risk areas (e.g., algo trading controls, margin pledging, MTF, settlement etc).
4. Anti-Money Laundering (AML) & CFT
  • Establish and implement the group-level AML/CFT policy framework in line with PMLA, FIU-IND guidelines,and SEBI AML circulars.
  • Manage end-to-end AML monitoring processes: customer due diligence (CDD), enhanced due diligence (EDD),transaction monitoring, and suspicious activity review.
  • Conduct periodic AML training for onboarding, operations, and sales teams.
  • Implement rule-based and AI-assisted transaction monitoring tools to detect layering, structuring, and other typologies at scale.
  • Define risk-based client segmentation (Low / Medium / High) and apply proportionate monitoring intensity to each segment.
Domain Knowledge (Must-Have):
  • Expert understanding of SEBI Regulations – Stock Brokers, Depositories Act, PMLA, PIT Regulations, and related circulars.
  • Hands-on experience with capital market intermediary operations: order management, clearing, settlement, and margin obligations.
  • Strong knowledge of KYC/AML frameworks including CDD, EDD, STR/CTR and FIU-IND reporting.
  • Familiarity with SEBI's Algorithmic Trading framework and cybersecurity guidelines for market intermediaries.
Preferred Experience:
  • 10 years in stock broking compliance, securities law, AML compliance, or capital market risk management.
  • Prior exposure to capital market compliance.
  • Experience in a fintech / digital broker environment with high retail volumes (preferred).
  • Exposure to compliance technology tools such as RegTech platforms, transaction monitoring systems, or GRC software.
Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Compliance Manager - Stock Broking
Compliance Manager - Stock Broking

Taglynk • Gandhinagar

On-site
INR 1,200,000 - 2,400,000
Compliance Manager
Compliance Manager

Incred • Mumbai

On-site
INR 1,500,000 - 2,500,000
Principal Compliance Officer
Principal Compliance Officer

PlusWealth Capital Management LLP • Gandhinagar

On-site
INR 800,000 - 1,200,000
Compliance Officer
Compliance Officer

DELTA VIBE BROKING PVT LTD • Rajkot

On-site
INR 700,000 - 1,000,000
Team Lead - Compliance - Market Infrastructure Institution
Team Lead - Compliance - Market Infrastructure Institution

ARIN CONSULTANCY • Mumbai

On-site
INR 3,500,000 - 5,500,000
Compliance Professional
Compliance Professional

Neo Wealth Management • Mumbai

On-site
INR 4,000,000 - 7,000,000
Lead – Compliance – Stock Broking/Capital Markets Numeric Talent Solutions
Lead – Compliance – Stock Broking/Capital Markets Numeric Talent Solutions

The Corporate Institute • Mumbai

On-site
INR 1,800,000 - 2,400,000
Compliance Manager - Investment Products, Governance & Company Secretary
Compliance Manager - Investment Products, Governance & Company Secretary

Stable Money • Bengaluru

On-site
INR 1,800,000 - 2,800,000
Manager – Compliance – BFSI
Manager – Compliance – BFSI

Career Management Services • Mumbai

On-site
INR 1,500,000 - 2,500,000
Compliance Officer
Compliance Officer

Equirus Capital Pvt. Ltd. • Mumbai

On-site
INR 900,000 - 1,300,000