Compliance officer

Compliance officer

1 Nos.
129785
Full Time
10.0 Year(s) To 15.0 Year(s)
20.00 LPA TO 27.00 LPA
Risk Management & Compliance
Banking/Financial Services
CA - CA; CA - CFA; LLB - Law
Job Description:

Role Overview

A Singapore-headquartered financial services organisation is establishing its presence in GIFT City (IFSCA jurisdiction) and is seeking a Compliance Officer to support regulatory setup, statutory compliance, operational coordination, and administrative governance for its India operations.

This role will play a key part in ensuring compliance with IFSCA, SEZ, FEMA, AML/CFT and cross-border regulatory frameworks, while supporting leadership during the India office setup phase.

Key Responsibilities

Regulatory & IFSCA Compliance

  • Ensure adherence to IFSCA regulatory requirements
  • Maintain statutory registers and compliance trackers
  • Support regulatory filings and periodic submissions
  • Monitor compliance timelines and escalation requirements
  • Coordinate with regulators, consultants and auditors
  • Assist in regulatory approvals, renewals and documentation management

SEZ & FEMA Compliance

  • Manage SEZ-related compliance documentation and filings
  • Support SERF reporting and operational submissions
  • Coordinate foreign remittance documentation with banking partners
  • Assist with FEMA compliance requirements related to cross-border transactions

AML / CFT Compliance Support

  • Maintain AML / CFT documentation and compliance trackers
  • Support internal compliance monitoring processes
  • Assist with FIU-related documentation (where applicable)
  • Coordinate compliance reporting requirements across departments

Insurance / Reinsurance Operations Compliance

  • Support compliance documentation related to insurance / reinsurance transactions
  • Maintain brokerage tracking and reconciliation records
  • Monitor receivable ageing and follow-up status reports
  • Assist in preparation of compliance-related MIS for management

Audit & Regulatory Reporting

  • Coordinate with internal, statutory and regulatory auditors
  • Maintain audit documentation repository
  • Support regulatory inspection readiness
  • Assist in preparation of certification documentation

Accounting & Statutory Coordination Support

  • Assist with GST-related compliance coordination (if applicable)
  • Support documentation required for statutory filings
  • Maintain reconciliation trackers and compliance-linked reporting schedules

Office Administration & Governance Support

  • Maintain licenses, approvals, agreements and statutory documentation
  • Coordinate with vendors, consultants and service providers
  • Support leadership in establishing compliance frameworks for India operations
  • Ensure process discipline and documentation standards across teams

Candidate Profile

Preferred Qualifications

  • CA / Inter-CA / CS / LLB / MBA Finance / Commerce Graduate

Preferred Experience Areas

  • Insurance broking/reinsurance compliance
  • Financial services regulatory reporting
  • IFSCA / GIFT City environment exposure
  • SEZ compliance filings
  • FEMA / foreign remittance documentation
  • AML / CFT compliance frameworks

Key Skills Required

  • Strong regulatory documentation capability
  • Compliance tracking & reporting discipline
  • Audit coordination experience
  • Cross-functional stakeholder coordination
  • Advanced MS Excel proficiency
Company Profile

Company is Singapore-headquartered, leading non-life --- company with a legacy of over 70 years. The company specializes in commercial and industrial risk underwriting, offering a wide range of solutions including marine, engineering, liability, and financial lines ---. It is recognised for handling large and complex risks across sectors and maintains strong partnerships with brokers, corporates, and reinsurers across Asia.

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