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AMLBSAKYC Analyst

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1 Vacancy
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Job Location drjobs

Atlanta, GA - USA

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Fulltime
Description

Homrich Berg (HB) is a leading feeonly financial planning and investment advisory firm located in Atlanta GA. Established in 1989 HBs employees provide comprehensive financial planning and investment management services primarily to highnetworth individuals.


This is a newly created position to support our Risk team with a new AML program. This role is an individual contributor reporting to the Chief Risk Officer. This is an excellent opportunity for someone who is a selfstarter.


Role Qualifications

  • BSA/AML/OFAC/KYC risk management experience including development and implementation of tools to assess effectiveness of controls; conducting or supervising research and investigations in a field related to CIP Sanctions Enhanced Due Diligence Fraud AntiMoney Laundering and experience analyzing large amounts of data
  • Strong knowledge of BSA/AML/OFAC/KYC compliance and processes and applicable techniques for implementation of regulatory compliance and legal requirements
  • Highly organized excellent followthrough and the ability to manage multiple projects and deadlines
  • Strong communication skills (written and verbal) with the ability to effectively interact with all levels of the organization
  • Knowledge of BSA/AML technology and ability to work closely with vendors/IT to implement a monitoring program
  • Ability to respectfully challenge views processes and behaviors while fostering a collaborative consultative and solutionsfocused approach
  • High level of professionalism selfmotivation and sense of urgency with initiatives

Responsibilities:

  • Serves as subjectmatterexpert within AML/BSA Compliance to build the AML program
  • Designs develops and operationalizes AML programs policies controls reporting and training
  • Designs and performs an enhanced due diligence risk based approach for client transaction monitoring.
  • Monitors and analyzes transactional data for suspicious activities unusual patterns and potential violations of BSA/AML and OFAC regulations and communication with business partners
  • Investigates alerts generated by transaction monitoring systems including conducting research gathering documentation and making recommendations for further action
  • Prepares and files Suspicious Activity Reports (SARs) and Currency Transaction Reports (CTRs) as required by regulatory authorities
  • Stays abreast of changes in BSA/AML and OFAC regulations as well as industry best practices and ensures policies/procedures/training documents are uptodate
  • Assists the CCO and/or CRO with the administration of the Securities and Exchange Commission (SEC) investment adviser compliance program
  • Provides support to the compliance program with the ongoing monitoring reporting and testing of the SEC Compliance program to make modifications that will prevent detect and correct securities laws violations and mitigate risks to the firm
  • Conducts weekly email reviews to ensure compliance with the Books and Records Rule 2042(a)7
  • Support the administration of the firms Code of Ethics through an automated compliance monitoring system. This includes monitoring employee personal trading new hire compliance documentation and quarterly and annual Code of Ethics Reporting
  • Provide support in maintaining Compliance management tools and systems risk logs risk matrix etc.
  • Participate in adhoc requests special projects regulatory exams and/or other duties as assigned
Requirements
  • Bachelors degree required; businessrelated field preferred; CAMS or ACAM certification preferred
  • At least 35 years of relevant work experience with a financial institution such as a broker/dealer registered investment adviser regulatory agency or other financial institution.
  • Experience with Bank Secrecy Act (BSA) AntiMoney Laundering (AML) Know Your Customer (KYC) and Office of Foreign Assets Control (OFAC) regulations including the USA PATRIOT Act
  • Experience with the Investment Advisers Act of 1940 Investment Company Act of 1940 and Securities Act of 1933
  • Strong abilities in analytical thinking problemsolving research and time management. Ability to think through complex Compliance issues.
  • Ability to work on assignments independently using a high level of judgment and initiative in resolving problems and developing recommendations
Please apply through our website:www.homrichberg
Equal Opportunity Employer M/F/D/V

Required Experience:

IC

Employment Type

Full-Time

Company Industry

About Company

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