AML Financial Crimes Compliance
Job in
Miami, Miami-Dade County, Florida, 33222, USA
Listed on 2026-10-05
Listing for:
Ascendo Resources
Full Time
position Listed on 2026-10-05
Job specializations:
-
Finance & Banking
Financial Crime, Regulatory Compliance Specialist, Tax Law, Banking & Finance -
Law/Legal
Financial Crime, Regulatory Compliance Specialist, Tax Law, Banking & Finance
Job Description & How to Apply Below
We are seeking an experienced AML/Financial Crime Compliance professional for our client a Broker-Dealer Securities business.
This role will serve as a senior AML subject matter expert, providing day-to-day advisory support to the front office and key business partners across complex AML, KYC/CDD, EDD, sanctions, and financial crime matters.
Responsibilities- Provide AML advisory support across Broker-Dealer, Clearing and Wealth Management businesses.
- Advise front office and business teams on BSA/AML, CIP/KYC/CDD, EDD, OFAC/Sanctions and related regulatory requirements.
- Review and provide guidance on complex and high-risk customer relationships, including HNW/UHNW clients, beneficial ownership structures and foreign financial institutions.
- Serve as an escalation point for complex KYC, EDD, transaction monitoring and adverse media matters.
- Review customer risk and provide appropriate AML clearance and recommendations.
- Partner closely with onboarding, operations, treasury, compliance and other AML functions.
- Support independent AML audits and regulatory examinations, including preparation of requested documentation.
- Review and enhance AML policies, procedures and controls.
- Provide AML guidance and training to business and compliance stakeholders.
- Support initiatives designed to strengthen the overall AML Compliance Program.
- 5+ years of second-line AML/Financial Crime Compliance experience.
- Strong experience in AML Advisory, EDD and/or AML Investigations.
- Direct Broker-Dealer AML experience required; clearing Broker-Dealer experience highly desirable.
- Strong knowledge of BSA/AML, OFAC/Sanctions, FinCEN and FINRA/SEC requirements, including FINRA Rule 3310.
- Experience advising on complex HNW/UHNW and higher-risk customer relationships.
- Strong knowledge of CIP/KYC/CDD, beneficial ownership and customer risk assessment.
- Excellent judgment, communication and stakeholder-management skills.
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