Looking for candidate with strong domain knowledge and experience in Transactional monitoring and AML.
Demonstrate strong AML/ KYC knowledge; a good understanding of the onboarding/ KYC lifecycle, systems and platforms
Relevant experience in AML/ KYC, Compliance, or Risk/ Controls within then Investment/ Corporate Banking business of a financial institution
Experience with Risk & Control Self-Assessments (RCSA) or Control Self Assessments (CSA) preferred
Strong analytical and problem solving skills including taking the initiative to drive change
Strong relationship management, influence management and ability to partner with stakeholders
Bachelors degree and or relevant work experience require
Advanced understanding of internal control concepts
Ability to evaluate and determine the adequacy of controls
Experience in assessing end-to-end processes to identify operational risk
Inquisitive and proactive in identifying risks and proposing solutions
Ability to work independently or within teams
Proven ability in meeting deadlines in a high-pressure environment
Must be proactive in identifying risks and proposing solutions
Ability to adapt to rapidly changing business environments
Self starter who is able to work in a fast-paced, results-driven environment
Strong interpersonal and verbal/ written communication skills with the ability to present complex and sensitive issues to senior management in a persuasive manner
Proficiency with MS Office (Outlook/ Word/ Excel/ PowerPoint); advanced user knowledge of excel required
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