Senior Associate, Anti- Financial Crime and KYC

Bain Capital

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profile Job Location:

Boston, NH - USA

profile Monthly Salary: $ 90 - 110
Posted on: 4 days ago
Vacancies: 1 Vacancy

Job Summary

TITLE: Compliance Senior Associate Anti-Financial Crime (AFC) / Know Your Customer (KYC)

LOCATION: Boston MA

Bain Capital Overview

With approximately $215 billion of assets under management Bain Capital is one of the worlds leading private investment firms. We create lasting impact for our investors teams businesses and the communities in which we live. Over four decades we have strategically grown our platform to focus on Private Equity Growth & Venture Capital Solutions Credit & Capital Markets and Real Assets. Today our team includes 1880 employees in 24 offices on four continents.

We partner differently to help people and companies embrace possibility and realize potential. Founded as a private partnership in 1984 we have fostered a culture of innovation entrepreneurialism and agility empowering our people to define and own their career trajectories. Today our partnership approach enables us to pursue strategic growth build enduring relationships with a robust external network and collaborate across our integrated platform to connect the deep and diverse expertise that unlocks breakthrough insights.

Our people are the heart of our advantage. Colleagues at all levels have a seat at the table as they tackle business challenges with a principal investor mindset. By asking incisive questions respectfully challenging one another and remaining intellectually agile we work together to achieve exceptional outcomes.

For more information visit: Bain Capital

Compliance Department

A strong compliance culture is central to the firms values. The Compliance Department is comprised of two organizational functions. The first is business advisory compliance which is generally co-located within the various business units and is the first point of contact for all compliance-related issues and questions that arise in the business. The business advisory compliance team is responsible for providing advice and general compliance guidance as well as drafting line of business specific policies and procedures. The second function is core compliance. The core compliance function provides cross line of business support including: compliance reviews; conflict and risk identification; monitoring and surveillance; personal trading; compliance policies and procedures; and continuing education and training.

Position Overview

The Compliance team is seeking a Senior Associate to join our team to focus on Anti-Financial Crime (AFC) including Anti-Money Laundering (AML) sanctions and Know Your Customer (KYC) processes. This role will support the firms global compliance framework by coordinating due diligence and ongoing monitoring of investors counterparties and transactions ensuring adherence to applicable AFC/KYC regulatory requirements and internal policies.

This position will sit within the business advisory compliance team of the firms Compliance Department reporting into the team led by the Head of Compliance Investor Relations/Broker-Dealer. The position will be responsible for some or all the following responsibilities:

  • Help with the design and implementation of the firms AFC and KYC program with a specific focus on counterparties portfolio companies and investments

  • Assist in maintaining and updating AFC/KYC policies and procedures

  • Partner with Legal Operations Deal Team and external counsel to facilitate KYC on investors counterparties portfolio companies and other relevant parties

  • Collaborate with global Compliance and Legal teams on AFC and KYC related matters

  • Review and analyze complex ownership structures to identify ultimate beneficial owners

  • Provide guidance to internal stakeholders on KYC requirements and risk considerations

  • Conduct sanctions and adverse media screening and analyze potential matches

  • Help manage and maintain systems used across AFC/KYC program

  • Support ongoing monitoring activities

  • Escalate suspicious or high-risk matters appropriately and support internal investigations as needed

  • Monitor applicable regulatory developments and support implementation of new requirements

  • Ensure related documentation meets regulatory and internal policy requirements and is effectively organized for reference

General Qualifications

  • 2 to 4 years of relevant experience in AML/KYC anti-financial crime or financial crime compliance

  • Working knowledge of global AFC/AML laws and regulations applicable to investment advisers and broker-dealers including the Bank Secrecy Act

  • Strong understanding of global sanctions frameworks (e.g. OFAC EU UK HMT etc.)

  • Familiarity with risk-based approach to conducting KYC and Customer Due Diligence

  • Ability to analyze and assess risk and exercise sound judgment

  • Bachelors degree preferably with legal studies finance or similar business concentration and with a strong GPA

  • Relevant professional certification (e.g. CAMS) a plus

  • Dedicated team player with a strong sense of ownership and problem-solving skills

  • Capacity to handle highly confidential and sensitive information

  • Detail oriented conscientious and energetic professional with the ability to think creatively and independently

  • Excellent organizational skills; ability to prioritize and manage multiple projects

  • High attention to detail accuracy and precision

  • Strong interpersonal skills; capacity to coordinate and interact with internal/external parties across multiple levels

  • Strong verbal and written communication skills

  • High level of integrity and discretion

Compensation:

Expected Annual Base Salary: $ 90k - $110k

Actual base salary will be determined by a wide range of factors including but not limited to role function level experience qualifications and geographic addition to a competitive base salary this position may be eligible for a discretionary annual bonus based upon factors such as individual impact team and firm performance. Bain Capital offers a competitive benefits package designed to support employees health financial security family needs and overall well-being.

Bain Capital is an equal opportunity employer. We are committed to equal employment opportunity regardless of race color ancestry religion sex national origin sexual orientation age citizenship marital status disability gender identity or Veteran status.


Required Experience:

Senior IC

TITLE: Compliance Senior Associate Anti-Financial Crime (AFC) / Know Your Customer (KYC)LOCATION: Boston MABain Capital OverviewWith approximately $215 billion of assets under management Bain Capital is one of the worlds leading private investment firms. We create lasting impact for our investors t...
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About Company

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Bain Capital, LP is one of the world’s leading multi-asset alternative investment firms. With offices on four continents, our global team aligns our interests with those of our investors and partners for lasting impact.

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