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Chief Compliance Officer - Financial Services

1872 Consulting

Chief Compliance Officer

The Chief Compliance Officer oversees the day-to-day BSA/AML responsibilities within the Compliance Department, and is accountable for the Department's performance as a whole. Responsibilities will include but are not limited to:

  • Creating and maintaining a comprehensive Compliance Program featuring an AML/KYC Policy, a Risk Assessment, Training, and Independent Testing
  • Keeping compliant with all applicable regulations
  • Regularly reading about new regulations in relevant jurisdictions and adjusting the Program accordingly
  • Managing employees and setting KPIs/deadlines
  • Automating the Department's manual tasks
  • Reviewing and investigating alerts/high risk accounts, identifying suspicious activity, and performing enhanced due diligence on customers and accounts
  • Interpreting company's policy/procedures pertaining to compliance and BSA/AML/OFAC, keeping up to date on regulations, and ensuring timely reporting of all activity

Duties of the position will include, but are not limited to:

  • Acting as a resource to all coworkers with regards to understanding compliance requirements and how they affect products and services
  • Conducting enhanced due diligence for customers at on-boarding and periodically throughout the duration of the relationship
  • Making sure new account registrations comply with relevant laws, rules and regulations
  • Assisting with or conducting transaction testing, data validation, and ongoing customization of monitoring systems
  • Conducting comprehensive investigation reviews of customers by utilizing KYC information, occupation, line of business, income sources, and transaction activity as identified by the Risk Assessment/system platform triggers
  • Utilizing data to research and build a case for suspicious activity
  • Identifying high risk activity, relationships, and accounts based on KYC tiers
  • Assisting in preparation for internal audits or bank partner examinations
  • Reviewing and contributing to compliance training materials for staff.
  • Participating in meetings with coworkers to identify gaps within current practices, and then rectifying the process to assure regulatory compliance
  • Reviewing and making recommendations for policies and procedures to meet current regulatory expectations and assisting in making updates as regulatory changes occur
  • Conducting research and data collection for the completion of compliance requirements for new products and services

Required experience:

  • 10+ years of experience with Compliance and Regulatory Leadership in the financial services space
  • Extensive knowledge and experience with compliance regulations including but not limited to Bank Secrecy Act & Anti-Money Laundering (BSA/AML), Patriot Act (CIP), Treasury Office of Foreign Assets Control (OFAC), and FinCEN advisory guidelines regarding Know Your Customer (KYC)/Enhanced Due Diligence (EDD)
  • Bachelor's Degree

Preferred experience:

  • CAMS
  • ACFCS
Vacancy posted 5 days ago
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