Supv Compliance Monitoring- 23010235 - Mumbai, India - MoneyGram

MoneyGram
MoneyGram
Verified Company
Mumbai, India

1 week ago

Deepika Kaur

Posted by:

Deepika Kaur

beBee Recuiter


Description
The Supervisor of Compliance Monitoring is responsible for the direct supervision of a diverse team of Compliance
Officers whose primary responsibilities are; to identify patterns of potentially suspicious transactional activity and
investigate suspected activities as they relate to potential fraudulent transactions, money laundering and/or terrorist
financing, and to maintain compliance with regulatory reporting timelines and accordance with the Bank Secrecy Act/
International Regulations. The Supervisor will be expected to analyze and review transactional activity for trends and/or
patterns. The incumbent will also be required to provide direct management, feedback, instruction, guidance
and direction to staff, and to ensure direct report(s) are following standards, processes, methodologies, metrics and
internal controls to support organizational objectives and mitigate risk.


Primary Responsibilities

  • Ensures the team is operating in compliance with regulatory laws and MoneyGram policies.
  • Hires, trains, and leads a team of Compliance Analysts.
  • Manages daily and weekly performance of Compliance Analysts.
  • Coordinates department workflow to ensure even and efficient distribution of resources and ensures timely, costeffective responses.
  • Develops and implements controls processes to mitigate risk, and escalate issues appropriately.
  • Implements process improvements based on feedback from the Quality Assurance (QA) Team.
  • Periodically reviews the staff's work to ensure that MGI is filing certain reports and/or producing records within government mandated timeframes and to ensure accuracy of work.
  • Provides monthly metrics and results and trend analyses to management.
  • Develops, enhances, and implements compliance policies and procedures, as needed, to address regulatory or business changes.
  • Maintains a sound working knowledge of relevant antimoney laundering laws, specific country regulations, and crimes.
  • Provides and presents monthly/weekly operational metrics and results of trend analyses to Compliance Senior Management.
  • Performs other duties as assigned.
Qualifications


Education

  • BA/BS in business, finance, law enforcement, legal studies or related field or equivalent work experience in Financial Services, Law Enforcement, Banking or a related area
  • MBA preferred
  • CAMS Certification preferred

Experience

  • 2 years' supervisory or strong team leadership experience.
  • Experience with implementing controls and process improvements in a Fraud/AML or Financial Regulatory environment.

Essential Skills

  • Demonstrated negotiating skills that employ tact and discretion.
  • Demonstrated ability to make quick, yet sound decisions, and communicate negative and adverse messages professionally, under difficult circumstances.
  • Demonstrated professional communication skills with internal and external customers at varying levels.
  • Demonstrated organization and time management skills.
  • Demonstrated ability to handle multiple priorities in a dynamic environment.
  • Demonstrated oral and written communication skills.
  • Demonstrated analytical and problem solving skills.
  • Knowledge of antimoney laundering compliance requirements for money services businesses preferred.
  • Indepth knowledge of mandates, operations, and policies of law enforcement organizations.
  • Broad base of knowledge of money laundering schemes and trends.
  • Fluent/bilingual communication skills preferred.

Primary Location:
India-Maharashtra-Mumbai


Work Locations:
IN_Corp_Mumbai_Bandra Kurla Complex Unit 901 Plot No. C-68, G Block, Bandra Kurla Complex Bandra (East) Floor 9, Unit 901 Mumbai 400051


Job:
Transaction Monitoring


Organization:
Compliance

:
Full-time


Travel:
No


Job Posting:
Apr 5, 2023, 12:10:04 AM

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