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1872 Consulting

Chief Compliance Officer - Crypto & Banking

1872 Consulting, Orangeburg, South Carolina, us, 29117

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Chief Compliance Officer - Crypto & Banking 100% Remote

Summary The BSA/AML 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 us 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)

Passion for cryptocurrency

Bachelor's Degree

Preferred experience

Cryptocurrency experience

CAMS

ACFCS

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