AML KYC Compliance Officer (up to $7k) (ID: 697067)

apartmentPERSOL placeToa Payoh scheduleFull-time calendar_month 

Key Responsibilities

AML Monitoring & Investigations
  • Monitor daily transaction alerts generated from AML systems and conduct investigations into suspicious activities.
  • Escalate cases and file Suspicious Transaction Reports (STRs) where required.
  • Review and disposition alerts from name screening tools, including sanctions, PEPs, and adverse media hits.
  • Ensure compliance with international sanctions regimes and internal policies.
CDD & Client Review
  • Review client onboarding and periodic reviews to ensure compliance with CDD and EDD requirements.
  • Perform due diligence on high-risk clients, including verification of source of wealth and funds.
  • Ensure completeness and accuracy of client documentation in line with regulatory standards.
Regulatory Reporting & Compliance
  • Prepare and validate client data for FATCA and CRS reporting, ensuring data integrity and compliance.
  • Support regulatory submissions and respond to queries from regulators.
  • Assist in internal and external audits, inspections, and compliance reviews.
Policy, Risk & Advisory
  • Assist in maintaining and updating AML/CFT policies and procedures in line with MAS regulations and head office standards.
  • Support the execution and periodic updates of Enterprise-Wide Risk Assessments (EWRA).
  • Provide AML/CFT advisory to business units on sanctions, CDD requirements, and risk mitigation measures.
Systems, Training & Continuous Improvement
  • Support the enhancement and operation of AML systems, including transaction monitoring and screening tools.
  • Deliver AML/CFT training and awareness programmes across the organisation.
  • Keep abreast of regulatory developments and implement necessary control improvements.
  • Perform additional duties as assigned by the Head or Deputy of Legal & Compliance.
Requirements:
  • Degree holder with at least 3–5 years of AML/KYC compliance experience in banks and/or Big 4/CPA firms, preferably covering both Corporate and Private Banking.
  • Strong understanding of AML/CFT regulations, including sanctions frameworks (e.g. OFAC, UN, EU) and MAS Notice 626.
  • Good knowledge of Customer Due Diligence (CDD), Enhanced Due Diligence (EDD), and client onboarding processes.
  • Strong analytical, investigative, and problem-solving skills.
  • Excellent interpersonal and communication abilities.
  • Self-motivated with the ability to work independently and collaboratively within a team.
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