Job Preference:
Qualification:
Any GraduateJob Description:
This role will be mainly responsible for the regular compliance and monitoring of transactions, reporting, and other areas as identified in brief below relating to the private equity funds managed / advised by Multiples. The underlying funds are SEBI registered Category II AIFs and IFSCA registered AIFs.
The candidate should be well versed with processes and systems and should be willing to work as an excellent team member. Apart from the regular activities, the candidate shall also be involved in certain special projects like automation etc. from time to time.
Responsibilities:
Compliance
- Execution of Compliance activity for all statutory requirements in India and GIFT IFSC (other than direct & indirect taxation) for AMC and Funds
- Continuous monitoring of relevant circulars/ changes under applicable SEBI, RBI and IFSCA Regulations and sensitizing relevant departments on compliance requirements and ensuring compliances within timelines.
- Prepare and Maintain compliance calendar for all entities
- PPM Compliance Audit
- Draft / Prepare / Review / Annual Trustee Compliance Test Report
- Updating the compliance monitoring software
a) Registrations and filings
a.
Assist in preparation of applications to
regulators in SEBI, RBI, IFSCA, FDI, as required from time to time for various
investment transactions.
b.
Assisting in finalising and filing the PPM in
coordination with Lawyers, Merchant bankers etc and setting up of Funds in
India and GIFT city, Gandhinagar
c.
Obtain other necessary regulatory registrations
such as SCORES, CKYC, KRA, LEI, FATCA, SEZ, LOA etc.
d.
Filing of FCTRS / FCGPR / InVI / ODI reporting
and other requirements under FEMA
e.
Winding up and surrender of registrations
a)
Fund Documents and investors
a.
Interpreting and execution of compliance with
requirements of all Fund documents (incl side letters)
b. Assistance on investor due diligence
c.
Conduct AML/KYC checks, FATCA compliances etc.
for investors
d.
Drafting Advisory Committee Board agenda,
notices and minutes;
Wo work with fund Administrator for investor related compliance matters
a)
Investment process:
a.
Compliance with investment and exit process as
per internal protocol, including compliance with AIF Regulations and Fund
documents
b.
Monitor post investment conditions and covenants
for portfolio companies
c.
AML/KYC of the investee company, its directors
& shareholders / promoters etc
a)
Legal: Review and approval of non-disclosure
agreements, engagement letters, consultancy agreements, and similar agreements
as required from time to time.
SuSupport CFO and CCO on preparing representations
to regulators
a)
Manage, upgrade and implement technology
platform (along with the tech team) for various activities explained above