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Compliance Leadership Role

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Job Description

Company Description Roha Housing Finance Pvt. Ltd., a vertical of JJT Group, is a licensed housing finance company that began commercial operations in 2017 with a core focus on first-time home buyers. Headquartered in Mumbai, the company currently operates in NCR, Mumbai, and Madhya Pradesh, with planned expansion into additional states. Roha Housing Finance is committed to making home loans accessible through an easy, transparent, and smooth process, emphasizing honesty, clear disclosures, and upfront communication on documentation and fees. As part of the wider JJT Group, which includes Roha Dyechem Pvt. Ltd.—a global leader in food colors and clean energy initiatives—team members benefit from the backing of a diversified, growth-oriented organization that invests strongly in its people.

Role Description This is a full-time, on-site Compliance Leadership role based in Noida. The position is responsible for overseeing regulatory and statutory compliance for housing finance operations, including monitoring adherence to guidelines issued by the National Housing Bank and other relevant authorities. Day-to-day responsibilities include designing and updating compliance frameworks, policies, and procedures; conducting compliance reviews and risk assessments; and ensuring timely implementation of regulatory changes. The role also involves coordinating with internal stakeholders and external auditors, managing compliance reporting, and driving awareness and training on compliance requirements across the organization. The Compliance Leader will provide strategic guidance to senior management on compliance risks, support the development of ethical business practices, and help maintain a culture of transparency and integrity.

Qualifications

  • Strong knowledge of regulatory frameworks relevant to housing finance, including National Housing Bank guidelines and applicable financial services laws and regulations.
  • Experience in developing, implementing, and monitoring compliance policies, procedures, and controls in a financial services or housing finance environment.
  • Proficiency in risk assessment, internal audit coordination, and compliance reporting, with the ability to interpret complex regulatory requirements and translate them into practical processes.
  • Excellent analytical, problem-solving, and decision-making skills, with attention to detail and the ability to handle confidential information responsibly.
  • Effective communication and stakeholder management skills, including the ability to collaborate with cross-functional teams and conduct compliance training.
  • Proven leadership experience in compliance or risk management, with the capability to influence organizational culture and drive continuous improvement.
  • Bachelor's or Master's degree in Law, Finance, Business, or a related field; professional certifications in compliance, risk management, or audit (such as CAMS, CCO, or equivalent) are an advantage.
  • Prior experience in housing finance, banking, or non-banking financial companies (NBFCs) is preferred, along with familiarity with digital lending practices and data privacy requirements.

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Job ID: 152714341

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