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Job Title | Manager - Compliance Testing |
Objective | The role aims to proactively identify compliance risks, conduct compliance testing and deliver timely, accurate reporting to senior management thereby safeguarding the organization's regulatory standing. The role ensures robust closure verification, sustainable control fixes, prevention of repeat findings |
Responsibilities | .Perform compliance testing across banking products and processes in line with RBI, SEBI, IRDAI, and PFRDA guidelines. .Conduct periodic sustenance checks on previously remediated observations (RAR, RMP and Compliance Testing Observation) to validate continued compliance. .Contribute to refreshing the testing universe quarterly based on new/updated RBI issuances and evolving risk themes. .Identify gaps in compliance processes and recommend corrective actions. .Collaborate with business units to ensure timely closure of observations .Identify emerging regulatory risks and incorporate them into thematic testing plans. .Conduct end to end compliance testing. .Maintain comprehensive documentation and ensure timely escalation of findings. .Deliver detailed reports with root-cause analysis and actionable recommendations. .Own the Tranche III testing plan and governance, aligning scope and timelines with RBI expectations. .Drive enhancements in testing processes through automation, analytics, and best practices. .Maintain a central tracker of observations, commitments, owners, timelines, and closure status with supporting artifacts |
Required Qualifications and Skills | Education:Graduate/Postgraduate in Finance, Commerce, or related field professional certifications (CA, CFA, FRM) preferred. Experience:
Key Attributes:
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Reporting Line | Vice President - Compliance Testing Unit |
Job ID: 139100741