Develop, implement, and maintain comprehensive compliance programs aligned with regulatory requirements and internal policies.
Lead the Compliance Department in conducting regular internal compliance monitoring and risk assessments to ensure program effectiveness.
Review, evaluate, and approve client due diligence (CDD) and KYC documentation in accordance with AML/CFT regulations and internal procedures.
Ensure timely and accurate responses to regulators and external authorities, including supporting audits, inspections, and investigations.
Monitor and enhance the effectiveness of the AML/CFT framework, identifying gaps and implementing corrective actions when necessary.
Review compliance and AML/CFT matters such as Suspicious Transaction Reports (STRs) and ensure proper escalation and reporting to relevant authorities.
Provide compliance training and guidance to staff while preparing compliance reports, presentations, and annual updates for senior management and the Board.
Qualifications
5–6 years of progressive experience in Compliance, AML, or Risk Management within a financial institution or regulated environment.
Professional certifications such as CAMS or ICA Advanced Certification/Diploma are mandatory.
Strong expertise in regulatory compliance frameworks, AML/CFT policies, and financial crime prevention practices.
Advanced proficiency in MS Excel and analytical tools with experience in compliance reporting, monitoring, and data analysis.
Knowledge of digital assets and blockchain technology is considered a strong advantage.
Excellent attention to detail with the ability to review documentation thoroughly and ensure strict regulatory compliance.
Strong communication and leadership skills with the ability to guide teams, train employees, and report compliance matters to senior management.
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