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Capital Markets Compliance Specialist

2 weeks ago


Riyadh, Ar Riyāḑ, Saudi Arabia Arabian Centres Full time
Job Overview:

As a Capital Markets Compliance Specialist at Arabian Centres, you will play a critical role in ensuring the company's investor relations activities are aligned with regulatory requirements. Your expertise in securities laws and regulatory compliance will help us maintain our reputation and build trust with investors.

Main Responsibilities:

  1. Regulatory Compliance:
    • Evaluate and ensure that all investor communications meet regulatory standards.
    • Stay informed about updates to regulatory requirements and provide guidance to the IR team.
    • Collaborate with legal and finance teams to guarantee accurate and compliant disclosures.
  2. Public Announcements:
    • Prepare and disseminate official company announcements, press releases, and financial disclosures.
    • Coordinate the timing and content of disclosures to align with regulatory guidelines and company policies.
    • Manage the submission of required documents to regulatory bodies and stock exchanges.
  3. Administrative Support:
    • Maintain accurate records of all investor communications and regulatory filings.
    • Organize and schedule investor meetings, earnings calls, and other IR events.
    • Manage the IR section of the company website, ensuring timely updates and compliance with disclosure requirements.
  4. Stakeholder Coordination:
    • Serve as a liaison between the company and regulatory agencies, stock exchanges, and investors regarding compliance matters.
    • Assist in responding to investor inquiries related to compliance and disclosure.
    • Support the IR team in developing and implementing policies and procedures related to investor communications.

Qualifications:

  1. Education:
    • Bachelor's degree in finance, law, business administration, or a related field.
  2. Experience:
    • 3-5 years of experience in investor relations, compliance, corporate communications, or a related area.
    • Demonstrated knowledge of securities laws, regulatory requirements, and financial disclosure practices.
  3. Skills and Competencies:
    • Strong understanding of regulatory compliance and financial reporting standards.
    • Excellent written and verbal communication skills.
    • Detail-oriented with strong organizational and administrative skills.
    • Ability to manage multiple tasks and meet deadlines in a fast-paced environment.
    • Proficiency in Microsoft Office Suite and familiarity with content management systems.