Assistant Manager - Regulatory Policy

Legal / Law

About the Employer

Job Description

ASSISTANT MANAGER – REGULATORY POLICY

Be a key contributor in shaping a fair, transparent and globally aligned capital market.

Job Summary

The Regulatory Policy Division plays a vital role in ensuring that the Colombo Stock Exchange maintains a robust, transparent and internationally aligned regulatory framework that supports market development, investor protection and the introduction of new products and initiatives. Through the formulation of regulatory policies, development and review of rules, stakeholder engagement and alignment with evolving market and legal requirements, the Division contributes directly to the integrity and growth of Sri Lanka's capital market.

In this context, the Assistant Manager – Regulatory Policy serves as a pivotal contributor to the Division’s mandate by supporting regulatory research, policy formulation, rule drafting and amendment processes, stakeholder consultations, and regulatory approval processes. Through these responsibilities, the Assistant Manager plays an integral role in advancing the Division's objective of fostering a fair, orderly and efficient marketplace while ensuring that the regulatory framework remains responsive to market developments and emerging regulatory challenges.

Key Responsibilities

  • Formulating and implementing new rules and amending the existing rules of the CSE Group as and when necessary, to support new/ enhanced business operations, facilitate new financial products and to satisfy the applicable legal/regulatory requirements and market dynamics.
  • Support in the process of obtaining internal and external approvals for regulatory policies, new rules and amendments to existing rules.
  • Preparing relevant papers to the Board of Directors and relevant sub-committees of the CSE Group.
  • Preparing documents to submit for approval of the Regulator.
  • Review Rules of the CSE Group on a regular basis.
  • Ensure the rule implementation process is completed and update the CSE Group Rule Books by incorporating regulator approved new Rules and/or amendments to Rules.
  • Carry out in-depth research on rules and regulations of Exchanges, Central Depositories and Central Counterparties of other jurisdictions and prepare reports/papers indicating research findings.
  • Prepare Board Papers, rules committee papers, concept papers etc.

Key Requirements

  • Bachelor's degree in Law from a recognized university with Attorney-at-Law qualification.
  • Master's degree in a relevant field from a recognized university will be an added advantage.
  • Minimum 5+ years of experience in Corporate Law and/or Securities Law.
  • Knowledge of corporate law, securities law and other applicable legal frameworks, including regulatory requirements under the SEC Act and capital market operations.
  • Demonstrated research, analytical, negotiation, drafting and communication skills.
  • Ability to manage multiple priorities and work under pressure.
  • Ability to collaborate effectively within a team and work independently.
  • Ability to engage and influence stakeholders effectively, with sound interpersonal skills.

Apply Now

Send us your updated CV to [email protected] within 7 days of this advertisement.

Let’s explore the possibilities together!