Legal & Compliance

Compliance Manager

Bengaluru
Work Type: Full Time

Zerodha Fund House

Enabling the Next Generation of Indian Investors

At Zerodha Fund House, we are redefining the mutual funds landscape to create simple, transparent, and cost-effective investment solutions for millions of Indians. Built by the pioneers behind Zerodha Broking Ltd and Case Platforms Ltd, we are on a mission to empower the next 10 crore investors in India to participate in and grow the capital markets. We are expanding our team and seeking passionate, analytical, and detail-oriented individuals to join us.

RESPONSIBILITIES INCLUDE

General Compliance Responsibilities

  • Assist in the finalization of reports to be filed with SEBI, AMFI, RBI and the Board of AMC and Trustees.

  • Assist in update of regulatory documents such as SID, KIM, and SAI.

  • Draft notices, addendums, and board communication related to compliance matters.

  • Pre-clearance of all marketing materials and filing the same with the regulator.

  • Assist in update of Compliance Manual and other policies.

  • Provide guidance to business and other teams on various compliance requirements.

  • Conduct compliance risk assessments and provide recommendations for risk mitigation.

Research and Regulatory Updates

  • Proactively track and analyze new circulars and directives issued by SEBI and AMFI.

  • Prepare reports on the impact of regulatory changes.

  • Assist in implementing changes required by new guidelines, ensuring seamless compliance.

  • Provide support for research for new initiatives.

Compliance Surveillance and Monitoring

  • Conduct reviews to ensure compliance with dealing room practices, insider trading regulations and ethical standards.

  • Analyze transaction/s to identify and report suspicious activities or regulatory breaches.

  • Review of call recordings, emails, and communications.

  • Review of personal transaction/s of employees.    

  • Monitor compliance limit breaches/ alerts.

  • Proactively monitoring to detect and prevent potential breaches of compliance norms/ internal policies.

Reporting and Liaison

  • Prepare various compliance related reports and MIS for the team.

  • Liaise with exchange/s on matters related to listed ETFs and other compliance requirements.

  • Coordinate with Internal Auditors, Statutory Auditors, and SEBI Auditors and Assist in handling SEBI inspection.

REQUIREMENT

  • Total experience of 5-6 years with minimum 3-4 years of experience of working in the compliance department of Asset Management Company/ Mutual Fund.

  • Graduate/Postgraduate in Law, Finance, or related field; additional certifications (e.g., CS, CA, CFA, or compliance certifications) will be an advantage.

  • Excellent analytical, communication, and stakeholder management skills.

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