Senior AML/KYC Compliance Manager

Reposted 6 Hours Ago
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Dublin, IRL
In-Office
Senior level
Financial Services
The Role
Lead and oversee the firm's AML/CTF/KYC program across multiple jurisdictions, acting as MLRO, conducting risk assessments, managing CDD/EDD/PEP/sanctions processes, liaising with regulators, implementing AML technology and controls, coordinating audits, and reporting to senior management.
Summary Generated by Built In

We are global private markets specialists delivering tailored investment solutions, advisory services, and impactful, data driven insights to the world’s investors. Leveraging the power of our platform and our peerless intelligence across sectors, strategies, and geographies, we help identify the advantages and the answers our clients need to succeed.

StepStone is a global private markets firm providing investment and advisory solutions across Private Debt, Private Equity, Infrastructure and Real Estate. StepStone has an affiliate in Dublin which operates an Alternative Investment Fund Manager (AIFM), regulated by the Central Bank of Ireland (CBI). StepStone Group is listed on the NYSE and is a Registered Investment Adviser (RIA) with the Securities and Exchange Commission (SEC)


StepStone is looking for a Senior AML Compliance Manager, with responsibility for overseeing and managing StepStone’s anti-money laundering (AML) and counter-terrorism financing (CTF) efforts. This will include overseeing policies and procedures to ensure compliance with relevant regional AML/CTF/(KYC) laws, regulations, and guidelines; working with investor services to create efficient and effective systems and controls to detect and prevent money laundering and execute the firms AML/KYC, KYA, and Reverse/Managed KYC program; working with vendors that assist in executing our processes, managing comfort letters and participating in other aspects of the compliance program. The successful candidate will be seen as a key member of the team. Internal processes and procedures are continuously evolving to meet regulatory and market expectations, and the successful candidate will have the opportunity to contribute to this growth.


This role will be supported by colleagues in the global compliance team in Dublin, Luxembourg and the US. 


Key Responsibilities:

  • Develop, implement, and maintain the company's AML/CTF/KYC policies, procedures, and controls in line with regulatory requirements in Ireland, Luxembourg, the Cayman Islands; the US and other regions in which the firm operates.
  • Conduct risk assessments to identify and mitigate potential money laundering and terrorist financing risks within the company.
  • Act as the primary internal resource for AML/CT/KYCF-related matters.
  • Manage relationships with relevant regulators and agencies and respond to requests for information in a prompt manner.
  • Remain current with changes in AML/CTF/KYC regulations and legislation, ensuring that the company’s policies and procedures are regularly reviewed and updated.
  • Act as the MLRO for the firm, it’s AIFM’s branches in Spain, Italy, Germany and the Netherlands. and if necessary MLRO for the US and LUX funds.
  • Monitor and review customer due diligence (CDD), know your customer (KYC), enhanced due diligence (EDD) processes, PEP and Sanctions checks and other AML/CFT checks carried out by other staff within the group.
  • Coordinate and assist in internal and external audits, ensuring all necessary documentation and reports are prepared in a timely manner.
  • Keep senior management informed of AML/CTF-related developments, risks, and issues, providing regular reports.
  • Implement systems, processes and technology to deliver an efficient AML framework and structure.
  • Engage with business units and external parties to identify technology challenges, efficiencies and solutions.
  • Manage short-term projects, quickly analyse requirements, work with minimal supervision and delivering to agreed deadlines.
  • Manage AML filing requirements in Italy, LUX, Ireland, Switzerland, USA, Ireland, Germany, Spain, the Netherlands, and other relevant jurisdictions.

Education and/or Work Experience Requirements:

  • At least 8 years’ experience working in a similar MLRO/DMLRO or AML compliance role within the financial services industry, preferably with an investment advisor.
  • Strong understanding of the LUX / Cayman and US AML/CTF/KYC regulations and a working knowledge of International AML laws and guidance.
  • Excellent analytical and problem-solving skills, with the ability to identify and mitigate risks effectively.
  • Strong communication and interpersonal skills, with the ability to engage and collaborate with stakeholders at all levels.
  • Strong organisational skills, with the ability to prioritise and manage multiple tasks and deadlines.
  • Familiarity with AML/CTF technology solutions and data visualisation tools.

#LI-Hybrid

 

At StepStone, we believe that our people are our most important asset and crucial to our success.  We are an Equal Opportunity Employer that strives to create an environment that empowers our employees and allows them to be heard, regardless of title or tenure.  Our organizational community features multiple Employment Resource Groups as well as mentorship programs to enhance the employee experience for all.  

As an Equal Opportunity Employer, StepStone does not discriminate on the basis of race, creed, color, religion, sex, national origin, citizenship status, age, disability, marital status, sexual orientation, gender identity, gender expression, genetic information or any other characteristic protected by law.

Candidates must be at least 18 years old to apply.

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The Company
HQ: New York, NY
909 Employees
Year Founded: 2007

What We Do

StepStone Group (Nasdaq: STEP) is a global private markets investment firm focused on providing customized investment solutions and advisory and data services to our clients. StepStone’s clients include some of the world’s largest public and private defined benefit and defined contribution pension funds, sovereign wealth funds and insurance companies, as well as prominent endowments, foundations, family offices and private wealth clients, which include high-net-worth and mass affluent individuals.StepStone partners with its clients to develop and build private markets portfolios designed to meet their specific objectives across the private equity, infrastructure, private debt and real estate asset classes.

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