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Compliance Risk Management Lead - Vice President

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 14 days ago

No clicks

**Compliance Risk Management Lead - Vice President:** Steer JPMorgan Chase's anti-money laundering (AML) and sanctions programs as a Compliance Risk Management Lead, serving as a strategic thought leader for the Global Financial Crimes Compliance (GFCC) organization. Orchestrate AML and sanctions coverage across the firm, create regulatory-compliant policies, and advise senior leadership and regulators. Leverage 6+ years of risk management experience at a global financial institution to guide business functions through AML challenges, including digital assets and tokenization products. User of enterprise-wide tools, expert in GFCC AML/KYC processes, and knowledgeable about global markets broker-dealer activities. Lead cross-functional teams and foster a culture of collaboration while driving consistent compliance excellence.

Compensation
Not specified

Currency: Not specified

City
Not specified
Country
United States

Full Job Description

Location: Jersey City, NJ, United States

As a key member of the Risk Management and Compliance team, you'll be instrumental in maintaining the strength and resilience of JPMorgan Chase. Your expertise will guide the firm in responsibly expanding its business by identifying and addressing new and emerging risks. You'll leverage your expert judgment to tackle real-world challenges that affect our company, customers, and communities. Our Risk Management and Compliance culture encourages innovative thinking, challenges conventional approaches, and aims to achieve excellence.



As a Compliance Risk Management Lead within the Global Financial Crimes Compliance (GFCC) organization, you will be tasked with the development of requirements and standards for the Firm's Enterprise-Wide Anti-Money Laundering (AML) and Sanctions Programs. Your responsibilities will include oversight and coordination of AML and sanctions coverage across the firm, the creation of policies, procedures, and standards to comply with regulatory guidance, including heightened expectations, and the execution of GFCC activities.    

 

Job Responsibilities

  • Support business functions with day-to-day AML compliance issues covering Global Markets broker-dealer activities and products, including institutional cash products, prime services, derivatives (including futures and options), securities finance, clearing, and custody as well as Digital Assets and tokenization products/structures (e.g., tokenized securities/funds, digital asset custody, settlement/clearing models, and on-chain/off-chain transaction flows)
     
  • Support the sales team through the interpretation and implementation of the GFCC Anti-Money Laundering/Know Your Customer processes, assessment of the control environment, OFAC/Sanctions and client Anti-Corruption Compliance
     
  • Help develop, review and provide feedback on Financial Crime and Operational Risk Assessments, higher risk client types, KYC and Customer Escalation Standards
     
  • Provide advice and guidance into new business initiatives, change management, deals (mergers and acquisitions) and strategic investments by assessing the Financial Crime risk impact on proposed new products and services
     
  • Help identify and assess AML risks, including the types of clients they serve, their geographical locations, and the types of financial transactions they conduct
     
  • Suggest improvements to the AML control process that increase the processes strength while maintaining efficiency
    Implement controls to respond to AML findings that mitigate AML risk
     
  • Review existing AML policies to ensure that they are effective and account for current or emerging risk
     
  • Stay abreast of industry trends and emerging risks and anticipate areas of focus and attention of regulators, keeping the business and Compliance colleagues informed
     
  • Set a positive culture of professional development, collaboration and efficiencies
     
  • Build relationships with stakeholders and provide oversight and credible challenge to senior level committees and forums across CIB and GFCC

 

 

Required qualifications, capabilities, and skills
 

  • 6+ years of work-related experience working within Risk Management and Compliance at a Global Financial Institution with strong knowledge of Global Markets broker-dealer products, services, and client types (including institutional cash products, prime services, derivatives, securities finance, clearing, and custody) and experience supporting Digital Assets / tokenization products and operating models (e.g., tokenized securities/funds, digital asset custody, and on-chain/off-chain transaction flows)
     
  • Expert level knowledge and implementation of programs around GFCC Anti Money Laundering/Know Your Customer processes, assessment, Office of Foreign Assets Control (OFAC)/Sanctions and client Anti-Corruption Compliance
     
  • High proficiency & demonstrated experience in presenting and advising senior leadership and regulators
     
  • Proven ability to establish a strategic vision and drive strong outcomes and results
     
  • Excellent analytical and problem-solving skills, inquisitive nature and comfort challenging current practices
     
  • BA/BS degree required
     
  • Strong ability to communicate clear vision and direction and ability to lead within a complex global organization
     
  • Ability to assess controls and processes to leverage further opportunities for automation/technological advancement
Exciting role for a Compliance Risk Management Lead Vice President to support the Corporate and Investment Bank organization.

Compliance Risk Management Lead - Vice President

Compensation

Not specified

City: Not specified

Country: United States

J.P. Morgan logo
Bulge Bracket Investment Banks

14 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Compliance Risk Management Lead - Vice President:** Steer JPMorgan Chase's anti-money laundering (AML) and sanctions programs as a Compliance Risk Management Lead, serving as a strategic thought leader for the Global Financial Crimes Compliance (GFCC) organization. Orchestrate AML and sanctions coverage across the firm, create regulatory-compliant policies, and advise senior leadership and regulators. Leverage 6+ years of risk management experience at a global financial institution to guide business functions through AML challenges, including digital assets and tokenization products. User of enterprise-wide tools, expert in GFCC AML/KYC processes, and knowledgeable about global markets broker-dealer activities. Lead cross-functional teams and foster a culture of collaboration while driving consistent compliance excellence.

Full Job Description

Location: Jersey City, NJ, United States

As a key member of the Risk Management and Compliance team, you'll be instrumental in maintaining the strength and resilience of JPMorgan Chase. Your expertise will guide the firm in responsibly expanding its business by identifying and addressing new and emerging risks. You'll leverage your expert judgment to tackle real-world challenges that affect our company, customers, and communities. Our Risk Management and Compliance culture encourages innovative thinking, challenges conventional approaches, and aims to achieve excellence.



As a Compliance Risk Management Lead within the Global Financial Crimes Compliance (GFCC) organization, you will be tasked with the development of requirements and standards for the Firm's Enterprise-Wide Anti-Money Laundering (AML) and Sanctions Programs. Your responsibilities will include oversight and coordination of AML and sanctions coverage across the firm, the creation of policies, procedures, and standards to comply with regulatory guidance, including heightened expectations, and the execution of GFCC activities.    

 

Job Responsibilities

  • Support business functions with day-to-day AML compliance issues covering Global Markets broker-dealer activities and products, including institutional cash products, prime services, derivatives (including futures and options), securities finance, clearing, and custody as well as Digital Assets and tokenization products/structures (e.g., tokenized securities/funds, digital asset custody, settlement/clearing models, and on-chain/off-chain transaction flows)
     
  • Support the sales team through the interpretation and implementation of the GFCC Anti-Money Laundering/Know Your Customer processes, assessment of the control environment, OFAC/Sanctions and client Anti-Corruption Compliance
     
  • Help develop, review and provide feedback on Financial Crime and Operational Risk Assessments, higher risk client types, KYC and Customer Escalation Standards
     
  • Provide advice and guidance into new business initiatives, change management, deals (mergers and acquisitions) and strategic investments by assessing the Financial Crime risk impact on proposed new products and services
     
  • Help identify and assess AML risks, including the types of clients they serve, their geographical locations, and the types of financial transactions they conduct
     
  • Suggest improvements to the AML control process that increase the processes strength while maintaining efficiency
    Implement controls to respond to AML findings that mitigate AML risk
     
  • Review existing AML policies to ensure that they are effective and account for current or emerging risk
     
  • Stay abreast of industry trends and emerging risks and anticipate areas of focus and attention of regulators, keeping the business and Compliance colleagues informed
     
  • Set a positive culture of professional development, collaboration and efficiencies
     
  • Build relationships with stakeholders and provide oversight and credible challenge to senior level committees and forums across CIB and GFCC

 

 

Required qualifications, capabilities, and skills
 

  • 6+ years of work-related experience working within Risk Management and Compliance at a Global Financial Institution with strong knowledge of Global Markets broker-dealer products, services, and client types (including institutional cash products, prime services, derivatives, securities finance, clearing, and custody) and experience supporting Digital Assets / tokenization products and operating models (e.g., tokenized securities/funds, digital asset custody, and on-chain/off-chain transaction flows)
     
  • Expert level knowledge and implementation of programs around GFCC Anti Money Laundering/Know Your Customer processes, assessment, Office of Foreign Assets Control (OFAC)/Sanctions and client Anti-Corruption Compliance
     
  • High proficiency & demonstrated experience in presenting and advising senior leadership and regulators
     
  • Proven ability to establish a strategic vision and drive strong outcomes and results
     
  • Excellent analytical and problem-solving skills, inquisitive nature and comfort challenging current practices
     
  • BA/BS degree required
     
  • Strong ability to communicate clear vision and direction and ability to lead within a complex global organization
     
  • Ability to assess controls and processes to leverage further opportunities for automation/technological advancement
Exciting role for a Compliance Risk Management Lead Vice President to support the Corporate and Investment Bank organization.