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Senior Associate - Financial Crime Compliance - Managed Services

KPMG
Abu Dhabi, UAE
Full-time
Entry
Onsite
Discovered 3 weeks ago
AMLKYCCDDEDDRegulatory ComplianceCompliance Management
Free

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Job Summary

Support compliance-related managed services engagements by providing expertise in Financial Crime Compliance (FCC), Anti-Money Laundering (AML), KYC/CDD/EDD, and Regulatory Compliance.

Responsible for managing compliance projects, conducting due diligence reviews, monitoring regulatory developments (UAE and international), and ensuring clients’ operations align with applicable laws and regulations.

Contribute to fostering a culture of integrity, transparency, and accountability while supporting leadership in scaling managed services operations.

Key Duties & Responsibilities

  • Perform KYC, CDD, EDD reviews and conduct AML, Sanctions, PEP, and Adverse Media screening for customers, employees, and third parties.
  • Assess compliance with UAE and international AML and regulatory requirements, policies, and procedures.
  • Monitor regulatory developments locally and internationally; analyze impact on clients and recommend necessary compliance adjustments.
  • Support and manage compliance-related projects within managed services engagements.
  • Prepare compliance reports, dashboards, presentations, and updates for internal and client senior management.
  • Assist in development, review, and enhancement of compliance policies, procedures, and internal controls.
  • Deliver training sessions to team members and new joiners to enhance awareness of compliance and regulatory requirements.
  • Engage with internal departments and external stakeholders to ensure comprehensive compliance management.
  • Identify process improvement opportunities to enhance efficiency, internal controls, and overall compliance framework effectiveness.
  • Support leadership in aligning compliance initiatives with strategic business objectives.

Minimum Required Qualifications, Experience, Competencies & Skills

  • Bachelor's degree in a relevant field such as Business Administration, Accounting and Finance, or Law (mandatory).
  • ACAMS, CFE, or other relevant compliance certifications (preferred).
  • MBA or Master’s degree with a focus on Compliance, Business Law, or related field (advantageous).
  • 4+ years of relevant experience in Financial Crime Compliance, AML, KYC, CDD, EDD, and Regulatory Compliance.
  • Experience within Big 4 or leading consulting firms (preferred).

Skills

  • Excellent written and verbal communication skills.
  • Strong presentation skills for senior management and client-facing engagements.
  • Ability to explain complex regulatory concepts clearly to diverse audiences.
  • Strong organizational and multitasking abilities.
  • Advanced MS Office skills (PowerPoint, Excel, Word) – capable of independently preparing proposals and senior management presentations.
  • High attention to detail and professional integrity.

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