- Define and execute the global strategy for compliance services aligned with business growth objectives.
- Build and scale offerings across investment compliance, AML/KYC, regulatory reporting, and surveillance.
- Lead client advisory initiatives including RFPs, operating model transformation, and regulatory consulting.
- Drive revenue growth, profitability, and long-term client partnerships across geographies.
- Design and oversee global delivery models ensuring high-quality, compliant, and efficient service execution.
- Champion adoption of AI and technology tools for modern compliance solutions and process automation.
- Develop leadership talent, strengthen governance frameworks, and build high-performing global teams.
- Own the financial performance of the practice including pricing, margins, and utilization.
A successful Practice Head - Risk Services should have:
- Experience: 15+ years in compliance, risk, or regulatory roles within financial services (asset management, banking, private markets).
- Domain Expertise: Strong knowledge of AML/KYC, financial crime, investment compliance, and global regulatory frameworks (SEC, GDPR, FCA, ESMA, DPDP etc.).
- Leadership: Proven experience managing large teams, Contracts, Global Stakeholders, and Owning P&L responsibilities.
- Technical Skills: Familiarity with platforms like Aladdin, Charles River, Bloomberg, and exposure to AI-driven compliance tools and automation systems.
- Client Engagement: Strong experience in Advisory, Consulting, Contract and managing senior client relationships globally (IND/US/UK/EU exposure preferred).
- Education: Bachelor's degree required; advanced degrees (MBA/Finance/Law) or compliance certifications preferred.
- Additional Strengths: Experience in outsourcing/co-sourcing models, regulatory change management, and operating model transformation.
Pay: ₹30,000.00 - ₹150,000.00 per month
Benefits:
- Flexible schedule
- Paid sick time
- Paid time off
Work Location: In person