Description
What you bring
- Proven experience within compliance roles, ideally within the fintech/financial services sector and/or advising the same, with demonstrable experience in Financial Crime and Sanctions Compliance
- Comprehensive knowledge of rules and regulations around AML, CFT, Sanctions regulations (knowledge across some or all of the following jurisdictions’ compliance requirements a plus: UK, EU, USA, Canada)
- Previous experience in financial services second line Compliance roles; also having experience of first line Compliance Operations roles is a plus
- Professional AML / compliance certifications
- Demonstrates strong automation and AI capabilities.
- Writes and speaks fluent English.
- It’s not required to have experience working remotely, but considered a plus.
Key Responsibilities
- Ensure Remote’s activities remain compliant with new guidance and regulation on sanctions, AML and CFT
- Identify compliance and sanctions risks faced by the Group and advise on strategies, systems, policies and controls to monitor and mitigate them
- Act as second line escalation point for the on-boarding and transaction monitoring analyst teams
- Support the wider Remote group with sanctions and AML/CFT risk assessments, advising as required
- Draft/maintain/improve policies and procedures relating to customer due diligence, enhanced due diligence, screening measures, business-wide risk assessments, customer risk assessments, transaction monitoring, suspicious activity reporting, law enforcement engagement, fraud prevention, anti-bribery and corruption, sanctions compliance, and producing training/knowledge sharing on the same
- Coordinate and execute AML/CTF audits for Remote group; manage day-to-day interactions with third party advisors on compliance matters
- Responsible for ongoing oversight of control environment to ensure Remote group remains compliant with relevant regulations, its own policies, and good practice
- Keep abreast of regulatory changes and update reporting processes accordingly
Practicals
- You’ll report to: Director, Compliance & Regulatory Affairs
- Team: Risk Operations – Regulatory Compliance
- Location:While we welcome applications from all locations, preference will be given to candidates based in EMEA or the US East Coast.
- Start date: As soon as possible
Are you interested in this position?
Apply by clicking on the “Apply Now” Button below!
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