• Conduct onsite inspections of brokers and their branches as per annual plan.
  • Conduct investigations of brokers as and when required.
  • Conduct offsite monitoring of brokers and their branches.
  • Monitor conduct of brokers and timely escalate suspected misconduct cases.
  • Analysis of periodic reports submitted by the brokers.
  • Handle investor complaints received against brokers.
  • Perform risk assessment of brokers for annual inspection plan.
  • Assist in handling disciplinary proceedings against non-compliant brokers.
  • Liaison with brokers, SECP and internal departments on regulatory matters.
  • Assist in arbitration proceedings.
  • Assist in conducting regulatory awareness sessions for brokers.
  • Conduct research related to functional areas and proposing improvements based on local and international best practices.
  • Any other task assigned by the HOD. 

工作详细内容

工作性质区域:
全部职位:
1 发布
工作时间:
早班
工作类型:
性别:
没有偏好
最低学历:
证书
学位头衔:
CA (Part Qualified)/ACCA
职位等级:
资深专业人员
电话预约已成功,我们的专家会在短时间内与你联系:
3年 (At least 3 years’ experience in compliance/audit/finance in the financial sector)
在之前申请:
Jul 17, 2025
发布日期:
Jun 16, 2025

PMEX

· 51-100 员工 - 伊斯兰堡, 拉合尔

.

你最大的竞争优势

快速得到有竞争力的分析和专业的对你的评定
联系我们团队的专业顾问来提升你的简历
尝试罗资 专业版

相同职位头衔

我在ROZEE上找到工作啦!