A leading US based Brokerage firm is looking out for a Compliance Analyst with regulatory compliance experience working for an exchange, a regulatory organization, a Broker Dealer or similar organization to work for their Compliance Department.
Role:
- Review client documents for account approvals and enquiries
- Obtain documents and reports as per KYC requirements
- Perform checks on 3rd parties and regulatory website
- Investigate factual and regulatory rule background behind client trading and financial activity
- Creating and reviewing surveillance reports of financial and trading activity
- Working on Anti-Money Laundering Program
- Updating policies and procedures and verifying their implementation
Requirements:
- 3+ years of relevant experience
- Graduate degree/PG in Accounting or Legal
- Experience in Politically Exposed Person (PEP), World-Check, OFAC and Sanction Review is a must
- Knowledge of KYC/AML compliance
- Experience in the financial industry is required
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