Compliance Analyst - AML

Posted 8 Days Ago
Be an Early Applicant
Dallas, TX, USA
In-Office
Mid level
Financial Services
The Role
Analyze and review customer identification, OFAC and exception reports, and account activity to ensure compliance with AML, BSA, and CIP requirements. Perform customer due diligence, document findings, investigate discrepancies, support supervisors and operations, and communicate with advisers and regulators as needed.
Summary Generated by Built In

Gather and analyze applicable information and resources to ensure Firms’ Anti-Money Laundering policies and procedures, as well as all applicable laws and regulations are followed.  Review and analyze daily files related to Customer Identification Programs, monitor client account activity for unusual activity, execute client reviews required under Bank Secrecy Act and document findings.

Requirements

•    Involved in one or more of the following activities to ensure compliance with Firms’ AML policy and all applicable laws and regulations:  
•    Review and investigate daily requests related to Customer Identification Programs (CIP). Maintain documentary of evidence of CIP related searches. 
•    Review and communicate discrepancies related to AML policies and procedures to AML Manager. 
•    Analyze exception reports related to Office of Foreign Asset Controls (OFAC) review and utilize systems to address identified exceptions. 
•    Perform necessary regulatory inquiries related to Financial Crimes Enforcement Network (FinCEN) 
•    Review daily exception reports and communicate with financial advisers on any unusual or suspicious activity. 
•    Review and detect variances in policies and regulations through systems and reports 
•    Support supervisory and operations personnel to address questions or concerns related to AML and CIP activity 
•    Take active part in the review, monitoring, testing and verification of our Firm policies and procedures 
•    Perform the required Customer Due Diligence reviews to help determine customer risk profiles 
•    Effective written and oral communication skills with all levels within the organization 
•    Perform research as requested on customer accounts. 
•    Other duties as assigned

Basic Qualifications

*High School Diploma or GED required. 
*Minimum 3 years of compliance or banking operations experience required. 
*Minimum 3 years of general office or accounting experience required.

Skills and Knowledge

•    Analytical skills that can recognize fraudulent items and items that merit more detailed review 
•    Excellent customer service skills and ability to deal with elite clients 
•    Proven critical thinking and strong time management skills 
•    Ability to multi-task while maintaining a high level of quality and efficiency 
•    General knowledge of bank operations and wire processing 
•    Ability to plan and prioritize job assignments 
•    Ability to communicate effectively orally and in writing 
•    Excellent organizational skills and detail oriented 
•    Requires good knowledge of wire payment processes and related legal/regulatory requirements. 
•    High level of quality/quantity of work and customer service, 
•    Strong analytical skills, ability to resolve routine to complex problem/issues independently and take initiative on new assignments. 
•    Thorough knowledge of compliance related functions. 
•    Thorough knowledge of applicable regulatory requirements. 
•    Good knowledge of Outlook and Microsoft Office applications.
 

About Us

About Us

What we give you in return:

Not many teams can say that they support people’s dreams coming to life. We happen to do that every day. And as important as we know your career is, we recognize that there’s a whole lot more to life. To ensure that our employees can make the most of their time outside of working hours, we offer a competitive salary and for full-time roles, a benefits package including:

  • Inclusive health, dental, vision, and life insurance plans built to support diverse lifestyles, offer preventative care, and protect against hardship.
  • Easy access to mental health benefits to meet our team members and their families where they are.
  • 20+ days of paid time off (PTO), paid holidays, and 2 paid wellness days to give our employees the time they need to stay close with their loved ones, recharge, and give back to their communities.
  • 401(k) savings plan with a generous company contribution (up to 5%), and access to a financial professional to offer our employees the opportunity to plan-ahead for a strong financial future well beyond their working years.
  • Paid parental leave to support all team members with birth, adoption, and fostering.
  • Health Savings and Flexible Spending Account options to help you save money on healthcare, daycare, commuting, and more.
  • Employee Assistance Program (EAP), LifeLock, Pet Insurance and more.
  • Paid caregiver leave to provide time away from work when caring for an ill or recovering family member.
  • Additional benefits such as an Employee Assistance Program (EAP), identity theft protection (LifeLock), pet insurance, and other voluntary benefits to provide extra peace of mind

About Cetera

Cetera Financial Group® (Cetera) is a leading network of independent retail broker-dealers and registered investment advisers empowering the delivery of objective financial advice to individuals, families, and company retirement plans across the country through trusted financial advisors and financial institutions. Cetera is one of the largest independent financial advisor networks in the nation and a leading provider of retail services to the investment programs of banks and credit unions.

Advisor support resources offered through Cetera include award-winning wealth management and advisory platforms, comprehensive broker-dealer and registered investment adviser services, practice management support, and innovative technology.

Cetera Financial Group (Cetera) is a network of independent retail firms, including those that are members of FINRA/SIPC: Cetera Advisors LLC; Cetera Wealth Services, LLC (formerly known as Cetera Advisor Networks); Cetera Investment Services LLC (marketed as Cetera Financial Institutions or Cetera Investors); and Cetera Financial Specialists LLC. Entities registered as investment advisers with the Securities and Exchange Commission include Cetera Investment Management LLC and Cetera Investment Advisers LLC. Cetera's principal office is located at 655 W. Broadway, 11th Floor, San Diego, CA 92101. Avantax Planning Partners, Inc. is an SEC registered investment adviser within the Aretec Group, Inc. (dba Cetera Holdings, an affiliate of Cetera). All the referenced entities are under common ownership.

Cetera Financial Group is committed to providing an equal employment opportunity for all applicants and employees. For us, this is the only acceptable way to do business. Accordingly, all employment decisions at Cetera Financial Group, including those relating to hiring, promotion, transfers, benefits, compensation, and placement, will be made without regard to race, color, ancestry, national origin, citizenship, age, physical and/or mental disability, medical condition, pregnancy, genetic characteristics, religion, religious dress and/or grooming, gender, gender identity, gender expression, sexual orientation, marital status, U.S. military status, political affiliation, or any other class protected by state and/or federal law.

Agencies please note: this recruitment assignment is being managed directly by Cetera’s Talent Acquisition team. We will reach out to our preferred agency partners in the rare instance we require additional talent options. Your respect for this process is appreciated.

Please review our Workforce Privacy Policy for further details on what information we collect and the purposes for collection.

Skills Required

  • High School Diploma or GED
  • Minimum 3 years of compliance or banking operations experience
  • Minimum 3 years of general office or accounting experience
  • Knowledge and experience with Customer Identification Program (CIP) processes and documentation
  • Experience reviewing OFAC screening/exception reports and addressing identified exceptions
  • Experience with Customer Due Diligence (CDD) and Bank Secrecy Act (BSA) related reviews
  • Good knowledge of wire payment processes and related legal/regulatory requirements
  • Strong analytical, critical thinking, organizational, written and oral communication skills
  • Proficiency with Microsoft Outlook and Microsoft Office applications (including Excel)
  • Ability to research customer accounts, document findings, and communicate with internal stakeholders

Cetera Financial Group Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Cetera Financial Group and has not been reviewed or approved by Cetera Financial Group.

  • Healthcare Strength Health coverage is described as comprehensive, including medical, dental, vision, mental‑health support, and optional pet insurance. Feedback suggests the breadth of coverage is a relative strength.
  • Leave & Time Off Breadth Time off includes a sizable PTO allotment with paid holidays, a dedicated wellness day, and a paid volunteer day. Feedback suggests the time‑off package exceeds basic employer offerings.
  • Retirement Support Retirement support includes a 401(k) with company match and access to one‑on‑one financial planning. Feedback suggests the retirement program can be competitive, though specifics may depend on role or plan.

Cetera Financial Group Insights

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The Company
HQ: San Diego, CA
1,129 Employees
Year Founded: 1981

What We Do

Cetera Financial Group empowers the delivery of professional financial advice to individuals, families and company retirement plans across the country. We support independent and institutions-based advisors, tax professionals, and bank and credit union investment programs, ensuring they have the objective research, regulatory guidance, technology, tools and resources they need to help them and their clients pursue their dreams for the future. While our multiple distinct firms allow us to customize how we serve the needs of each advisor and investment program, all are united through our exclusive Advice-Centric Experience™, which makes the delivery of financial insight and advice more efficient, more transparent, and more human. Cetera Financial Group” refers to the network of independent retail firms encompassing, among others, Cetera Advisors LLC, Cetera Advisor Networks LLC, Cetera Investment Services LLC (marketed as Cetera Financial Institutions or Cetera Investors), Cetera Financial Specialists LLC, and First Allied Securities, Inc. All firms are members FINRA / SIPC. Individuals affiliated with Cetera firms are either Registered Representatives who offer only brokerage services and receive transaction-based compensation (commissions), Investment Adviser Representatives who offer only investment advisory services and receive fees based on assets, or both Registered Representatives and Investment Adviser Representatives, who can offer both types of services

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