AML Team Lead

Standish Management

$95K — $115K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in a relevant field (e.g., Business, Risk Management, Accounting, Finance)
  • 5-8+ years of experience in risk compliance, reporting, and governance, preferably in leadership
  • In-depth knowledge of compliance regulatory requirements and industry standards
  • Experience mentoring and developing teams, particularly Senior Analysts and junior staff
  • Ability to manage multiple priorities in a fast-paced environment and work independently
  • Strong organizational skills and attention to detail

Responsibilities

  • Assist with implementing compliance policies at the operational level
  • Utilize compliance tools to monitor adherence to standards and identify improvements
  • Collaborate to cultivate a culture of compliance and good governance
  • Prepare and review compliance reports for accuracy and timeliness
  • Provide insights and recommendations for operational efficiency
  • Track and manage compliance-related issues, ensuring resolution and prevention
  • Communicate compliance requirements effectively within and across teams
  • Guide and mentor team members, preparing them for leadership roles
  • Address complex compliance and operational issues using both standard and innovative methods
  • Work closely with leadership to enhance operational performance and alignment with objectives

Benefits

  • Opportunity to shape compliance strategies in a growing organization
  • Professional development and mentorship opportunities
  • Engagement with a collaborative and supportive team culture
  • Exposure to high-level compliance and governance challenges
  • Contribution to the success of a specialized fund administration service
Full Job Description
Position Overview:

We are seeking an experienced and proactive Team Lead for our AML/Compliance department. The ideal candidate will have a comprehensive understanding of compliance, reporting, and risk management, with a demonstrated ability to lead teams, resolve complex issues, and drive continuous improvement. This role requires a deep understanding of internal controls, regulatory requirements, and a commitment to fostering a culture of good governance and compliance. As a Team Lead, you will support the implementation of compliance policies, monitor operational compliance, and contribute to the development of team members while ensuring alignment with organizational objectives.
Responsibilities:
  • Assist in the practical implementation of compliance policies at the operational level, ensuring that internal controls are followed and regulatory requirements are met.
  • Utilize and manage compliance tools to effectively monitor adherence to internal controls and regulatory standards, identifying areas for improvement and corrective action
  • Collaborate with Managers and Directors to instill a culture of compliance and good governance across the organization
  • Assist in preparing and reviewing compliance reports for management, ensuring accurate and timely submission.
  • Provide insights and recommendations to improve operational efficiency.
  • Track, manage, and follow up on compliance-related issues. Collaborate with relevant teams to ensure issues are resolved and preventive measures are implemented.
  • Communicate compliance requirements effectively within the team and across departments.
  • Guide, mentor, and support Senior Analysts and junior staff, fostering their development and preparing them for leadership roles
  • Address complex compliance and operational issues using established and non-standard procedures
  • Work closely with Managers, Directors, and Senior Analysts to refine strategies, drive operational performance, and ensure alignment with broader organizational objectives
  • Demonstrate a strong understanding of key business principles, including finance, operations, and human resources
Qualifications and Experience:
  • Bachelor's degree in a relevant field (e.g., Business, Risk Management, Accounting, Finance)
  • 5-8+ years of proven experience in working with risk compliance, reporting, and governance, preferably in a leadership or supervisory role.
  • In-depth knowledge of regulatory requirements and industry standards related to compliance
  • Demonstrated experience in mentoring and developing staff, particularly Senior Analysts and junior team members.
  • Ability to manage multiple priorities in a fast-paced environment and work independently with minimal supervision.
  • Strong organizational skills and attention to detail.

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