CoinDesk

BSA/AML Officer

CoinDesk$175K — $215K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 3+ years of experience in regulatory compliance, preferably in a DCM, DCO, SEF, or FCM environment.
  • Familiarity with CFTC Regulations and NFA rules, with knowledge of UK BMR and FCA regulations as a plus.
  • Strong ability to interpret complex regulations and develop internal procedures accordingly.
  • Excellent written communication skills for creating rulebooks and reports.
  • Comfortable in the fast-paced digital asset industry with a quick learning ability regarding Financial Promotions and benchmark administration.

Responsibilities

  • Assist in developing and implementing compliance programs aligned with CFTC Core Principles.
  • Monitor global regulatory changes, particularly from the CFTC, and evaluate their impact on operations.
  • Support regulatory filings and respond to inquiries and examinations.
  • Help maintain DCM rulebooks and trading policies, ensuring compliance with market integrity standards.
  • Assist in monitoring DCO compliance with financial management and risk protection standards.
  • Support the formulation and testing of default management and stress testing procedures.
  • Collaborate cross-functionally to integrate compliance in new business initiatives and maintain regulatory licenses.

Benefits

  • Comprehensive health, dental, and vision insurance coverage.
  • Retirement savings plan with employer matching contributions.
  • Flexible working hours and remote work options.
  • Professional development and training opportunities.
  • Employee wellness programs and activities.
Full Job Description

Reports to:

Position Overview
We are seeking a BSA/AML Officer for Bullish’s regulated US digital currency trading business. In this role, you will be a key pillar in our US business expansion by leading the US Compliance program and acting as the regional BSA/AML Officer. This role supports the spot, derivative, and tokenized securities business lines in the US, encompassing the MTL businesses (spot), FCM, and Broker Dealer entities. In this role, you will be responsible for our BSA/AML & OFAC Sanctions programs and ensuring that we maintain compliance with all applicable local, US, and international laws and regulations impacting the digital currency industry.

This position is based in NYC and will be required to work from our NYC office a minimum of 4 days per week.

Responsibilities:

  • Lead the compliance program for both fiat and crypto trading to meet all applicable state and federal regulatory requirements and reflect the nature of a rapidly changing risk landscape, including:

    • BSA/AML compliance;

    • fraud risk;

    • market integrity;

    • Compliance with state licensing requirements;

    • Oversight over compliance with applicable state and federal cybersecurity requirements;

    • Other business conduct requirements.

  • Implement the domestic BSA/AML and OFAC compliance programs in line with U.S. regulatory requirements.

  • Maintain risk-based BSA/AML and OFAC policies and procedures addressing all areas of BSA/AML and OFAC; advise Bullish staff and management of deficiencies and ensure that required changes are made.

  • Direct the domestic BSA/AML and OFAC compliance monitoring program to ensure there are sufficient internal controls to promote an effective control environment.

  • Coordinate with offshore affiliates and exercise oversight to ensure any controls performed on behalf of the U.S. entity by the affiliates are performed to a standard that meets U.S. requirements.

  • Oversee regulatory reporting to FinCEN, SEC, CFTC, FINRA, NFA, NYDFS, and other federal and state regulators, as necessary, to comply with Bullish’s BSA/AML reporting obligations, including ensuring the timely filing of suspicious activity reports (7SARs8).

  • Ensure the BSA/AML program strictly adheres to FINRA Rule 3310 (for the Broker Dealer) and NFA Compliance Rule 2-9(c) (for the FCM).

  • Prepare monthly and quarterly management reporting of BSA/AML-related metrics.

  • Identify, escalate, track, and remediate, as necessary, BSA/AML compliance-related issues.

  • Perform BSA/AML, CIP, and OFAC risk assessments as needed and work with stakeholders and various forms of data to inform, update, streamline and optimize the BSA/AML and OFAC program.

  • Lead the process for ensuring all BSA/AML and OFAC reports are filed as required and all BSA/AML and OFAC related records are maintained according to regulatory requirements.

  • Contribute to building a compliance culture across the firm by training Bullish employees on key policies, procedures, and their responsibilities in preventing financial crime.

  • Continually review and refine alert thresholds and organizational configurations in the transactional monitoring system to ensure alerts are appropriately set and suspicious activity is detected as expected.

  • Coordinate with and serve as point-of-contact for audits and regulatory examinations of the compliance program and represent Bullish in meetings with regulators.

Experience & Qualifications:

  • Sufficient experience in one or a combination of the following to satisfy the requirements to be appointed into the role: financial crime, Bank Secrecy Act (BSA), Anti-Money Laundering (AML), financial crime investigations, and/or risk management, audit, compliance, specifically with exposure to digital assets.

  • Experience in managing regulatory examinations and relationships with examiners (e.g., NYDFS, FINRA, NFA, SEC, CFTC), auditors, and banking partners.

  • Extensive knowledge of the Bank Secrecy Act (BSA), USA PATRIOT Act, OFAC regulations, as well as SEC, CFTC, FINRA, and NFA rules and requirements.

  • Awareness of regulatory requirements including local and US laws, international and industry standards.

  • Strong attention to detail and strong organizational, problem solving, analytical, and management skills.

  • Ability to execute in a fast paced, high demand environment while managing multiple priorities.

  • Bachelor6s Degree/University degree or equivalent experience; Advanced degree (e.g. JD, MBA, etc.) preferred.

  • Active FINRA Series 7 and 24 (or 14) licenses, and Series 3 are strongly preferred (or willingness to obtain them within a specified timeframe).

  • Certified Anti-Money Laundering Specialist (CAMS), Certified Fraud Examiner (CFE), Certified Regulatory Compliance Manager (CRCM), Certified Financial Crime Specialist (CFCS) and/or related professional certification preferred.

Bullish US LLC & CoinDesk Inc. are committed to offering competitive compensation and benefits. The anticipated base salary for this position is $175,000 - $215,000 + discretionary annual target bonus + performance incentives/benefits. Offered salary will be reflective of job related knowledge, skills and commensurate experience.

About CoinDesk

CoinDesk is a media company that covers news and analysis on the cryptocurrency and blockchain industries. The company was founded in 2013 by Shakil Khan. CoinDesk's website provides news, analysis, and data on cryptocurrencies, blockchain technology, and related topics. The company also hosts conferences and events related to the cryptocurrency and blockchain industries. CoinDesk's clients include investors, traders, and other professionals in the cryptocurrency and blockchain industries.
Learn more about CoinDesk
Size
50 employees
Industry
Founded
2013

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