AML FIU Analyst

Posted 2 Days Ago
Be an Early Applicant
Atlanta, GA
60K-70K Annually
Junior
Fintech • Payments • Financial Services
The Role
The AML FIU Analyst will monitor and review transactions for suspicious activity, conduct investigations, and prepare Suspicious Activity Reports (SARs). Responsibilities include documenting findings, completing SARs to a high standard, and working with various stakeholders to gather necessary information. The role requires familiarity with anti-money laundering legislation and transaction monitoring systems.
Summary Generated by Built In

Current Employees and Contractors Apply HereOsaic Careers

Compliance Opportunity in Financial Services

AML (Anti-Money Laundering) FIU Analyst

Preferred Location(s):  St. Petersburg, FL and Atlanta, GA

2300 Windy Ridge Parkway, Atlanta, GA 30339
877 Executive Center Drive West, St. Petersburg, FL 33702
7755 Third Street North, Oakdale, MN 55128
12325 Port Grace Boulevard, La Vista, NE 68128
18700 N Hayden Rd, Suite 255, Scottsdale, AZ 85255

Remote applicants may potentially be considered for this role.

Schedule:  Osaic has returned to the office on a hybrid schedule requiring a minimum of 4 days weekly in the office. Applicants must be willing to work this schedule.

Role Type:     Full-Time

Salary:            $60,000 - $70,000 per year + annual bonus 

  • Actual compensation offered will be determined individually, based on a number of job-related factors, including location, skills, experience, and education.
  • Our competitive salaries are just one component of Osaic’s total compensation package. Additional benefits include health, vision, dental insurance, 401k, vacation and sick time, volunteer days and much more. 
  • To view more details of what you can look forward to, visit our careers page: https://careers.osaic.com/Creative/Benefits 

Summary:

The FIU Anti-Money Laundering (“AML”) Investigative Analyst will be responsible for monitoring and reviewing transactions to identify potentially suspicious activity, conducting investigations, and preparing Suspicious Activity Reports (“SARs”), as required. Duties may also include but are not limited to reviewing, analyzing, and escalating other potentially suspicious transactions. The analyst will interact with colleagues at various levels throughout the Firm, advisors, and supervisors in the field, and with our clearing firms to conduct thorough investigations.

Responsibilities:

  • Identify and investigate the potentially suspicious fraudulent activity, as identified utilizing relevant systems and matters, notified, and escalated to the AML Group by various facets of the business.
  • Conduct and document thorough reviews of the relevant activity.
  • Complete SARs timely and to a high standard.
  • Work with advisors and supervisors to gather information and documentation required to resolve matters.
  • Identify and escalate matters containing potentially suspicious activity, Firm policy violations, or issues that may pose a higher risk to the Firm.
  • Perform client due diligence reviews utilizing internal and third-party research tools.
  • Utilize a wide variety of public and non-public resources to investigate matters involving possible financial criminal activity fully.
  • Maintain a high level of confidentiality in all dealings with internal and external stakeholders.
  • Maintain currency in laws and regulations about anti-money laundering violations.

Education Requirements:

  • Bachelor’s Degree Preferred, H.S. Diploma or GED certificate + Significant Practical Experience will be considered in lieu of a degree.
  • Minimum of high school diploma or equivalent is required.

Requirements:

  • CAMS or equivalent (CFCS)
  • 1 – 3 years of securities industry experience
  • 2 – 3 years conducting investigations into financial crime (e.g., money laundering and fraud)
  • Strong verbal and written communication skills are required
  • Transaction Monitoring System experience, Actimize, Mantas, etc.
  • A solid and considerate approach when dealing with business partners
  • Strong SAR writing and case disposition capabilities
  • General compliance knowledge - must have extensive knowledge of FINRA, SEC, and Firm-specific rules and regulations
  • 314(a) and 314(b) experience
  • Proficiency in MS Office applications (Word, Excel, Access)
  • Strong organizational skills and the ability to work within strict timeframes
  • Ability to interpret the Firm’s Sales Practice Manual, FINRA manual, FINRA Notices to Members, Compliance notices, and other publications concerning broker/dealer regulation, and internal policies and procedures
  • Knowledge of the retail brokerage business, fee-based advisory business, and common investment products including, but not limited to, mutual funds, variable annuities, alternative investments, stocks, and bonds

Preferred Requirements:

  • FINRA Series 7
  • CFE Certification

Current Employees and Contractors Apply Here

The Company
Scottsdale, , Arizona
2,194 Employees
On-site Workplace

What We Do

Osaic provides the support, resources, and community designed for the future of wealth management.

Securities and investment advisory services are offered through the firms: Osaic Wealth, Inc., Osaic Institutions, Inc., Osaic FA, Inc., Osaic FS, Inc., and Triad Advisors, LLC, broker-dealers, registered investment advisers, and members of FINRA and SIPC. Securities are offered through Securities America, Inc., American Portfolios Financial Services, Inc., Osaic Services Inc., and Ladenburg Thalmann & Co., broker-dealers and member of FINRA and SIPC. Advisory services are offered through Arbor Point Advisors, LLC, American Portfolios Advisors, Inc., Ladenburg Thalmann Asset Management, Inc., Osaic Advisory Services, LLC, and Securities America Advisors, Inc., registered investment advisers. Advisory programs offered by Osaic Wealth, Inc., Securities America Advisors, Inc., and Triad Advisors, LLC., are sponsored by VISION2020 Wealth Management Corp., an affiliated registered investment adviser.

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