Wealthfront is seeking a talented, passionate, and detail-oriented Anti-Money Laundering (AML) compliance professional to join its Financial Intelligence Unit. As the newest member of the FIU team, the ideal candidate will enjoy hands-on investigative work, possess a strong degree of intellectual curiosity, hold an interest in applying technology to enhance business processes, and will be looking to continue developing their AML skillset in an individual contributor capacity. This individual will work closely with other members of the Legal and Compliance division, and collaborate with other departments across the firm including Fraud Operations, Product Support, and Engineering.
Responsibilities:
Conduct in-depth investigations that include thorough reviews of transactional activity, internal KYC records, and open source research and file Suspicious Activity Reports (SARs) in accordance with regulatory reporting requirements
Maintain accurate metrics for FIU investigations and SAR filings to ensure stakeholders are well-informed in decision-making processes
Leverage expertise to identify unusual financial activity indicative of money laundering, terrorist financing, and fraud
Conduct deep-dives into account and transaction activity to identify and expand upon existing Fraud and Anti-Money Laundering (AML) typologies
Support the Company’s suspicious activity detection, transaction monitoring, and reporting programs and drive enhancements to the program, including updates to related controls and accompanying policies and procedures
Expertise:
Deep, wide, and practical understanding of money laundering typologies and related red flags
Adept at independently conducting investigations, filing SARs, and managing a large caseload with minimal guidance
Excellent analytical and organizational skills, able to set and meet deadlines in a fast-paced environment
Experience leading cross-functional projects, including collaboration with engineering teams
Strong verbal and written communication skills, including formal writing and presenting to senior leadership
Required:
BA/BS degree
2 - 4 years direct or relevant experience conducting Anti-Money Laundering (AML), Sanctions or Follow-the-Money related analysis and/or investigations
Willingness to obtain applicable registrations and/or licenses as necessary
Preferred:
CAMS certification
Certified Fraud Examiner certification
Experience with or general understanding of broader financial services including investment advisory and banking
Experience conducting investigations related to subpoenas and requests under Section 314(a) and 314(b) of the USA PATRIOT Act