Job Profile for Dealer

Position: Dealer

Department: Pro Trading

Job Type: Full – Time

Job Location: Multiple 

Rajkot – 2 Open Positions

Ahmedabad – 1 Open Position

Gift City – 1 Open Position

Job Description

  • Generate brokerage and activate trading accounts for clients.
  • Assist new entrants in the equity market to understand its dynamics.
  • Handle High Net Worth Individuals (HNI) clients effectively.
  • Coordinate daily trades in equity and F&O with clients.
  • Monitor client exposure limits and handle risk management.
  • Help customers execute trades online and place orders on their behalf.
  • Provide daily confirmations of orders and trades to clients.
  • Acquire new clients through referrals from existing clients.
  • Reactivate inactive clients through regular follow-ups.
  • Address client queries and maintain regular communication.
  • Communicate intra-day trading calls and investment ideas to clients.
  • Monitor daily operations at the branch.
  • Maintain strong relationships with all clients.
  • Operate NSE/BSE terminals independently.
  • Ensure compliance with all NSE/BSE rules and regulations.
  • Advise clients based on researched market insights and updates.
  • Drive revenue growth by identifying and developing new equity revenue streams.
  • Maintain cordial relationships with existing clients and generate leads through referrals.
  • Achieve set budgets related to revenue generation and client activation.

Job Profile for Back Office

Position
Back office Executive
Department
Back office
Job Type
Full Time
Multiple Locations
Job Description
  • Operate CDSL DP systems (CDAS) and stockbroking software (LD – Lidha Didha).
  • Interact with clients to resolve queries, manage day-to-day client interactions, and provide updates.
  • Perform general accounting tasks and ensure process efficiency.
  • Prepare professional bills, vouchers, and manage payments.
  • Process trades (Cash, F&O, Currency, Commodity) and daily reports (contract notes, margin statements, EOD, RMS).
  • Handle securities operations (pay-in, payout, margin pledge) and corporate actions.
  • Ensure regulatory compliance and timely margin reporting.
  • Address client queries and implement process improvements.
  • Collaborate with Finance, Compliance, and Settlement teams.
  • Facilitate interdepartmental coordination to optimize operations.
  • Handle daily processing of trades, reconciliations, fund settlements, and reporting (NSE, BSE, MCX).
  • Manage KYC, UCI creation, pledging, MTF operations, and regulatory reporting.

Apply Now

🔧 Scheduled Maintenance Notice

Dear All, Our back-office platforms — ANSPL Web Back Office, ANSPL BO, LD Addon, LD CDSL and others — will be unavailable for scheduled maintenance between:

Friday, June 27 7:00 PM until Monday, June 30 7:00 AM

Thank you for your cooperation.

TEAM ANSPL