Morgan Stanley Bank, NA (MSBNA) Financial Crimes Risk Office (Institutional Securities Group)– Vice President jobs in United States
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Morgan Stanley · 1 day ago

Morgan Stanley Bank, NA (MSBNA) Financial Crimes Risk Office (Institutional Securities Group)– Vice President

Morgan Stanley is a global financial services firm that provides comprehensive financial advice and services to its clients. The Vice President in the Financial Crimes Risk Office is responsible for reviewing and assessing financial crimes-risk relevant activities, managing programs related to money laundering and reputational risk, and providing expertise and support to first line of defense teams.

Asset ManagementFinanceFinancial ServicesLending
Hiring Manager
Ajit Jose MBA-HR, SHRM-SCP, GTML™, CDR
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Responsibilities

Implement and manage the 1L Financial Crimes Risk program requirements and controls
Provide subject matter expertise, guidance, and training to 1L Financial Crimes Risk staff who perform AML, KYC, and EDD reviews for MSBNA customers
Manage and assess the financial crimes risks associated with all MSBNA customers (including all risk rating levels) and the overall MSBNA business
Provide day-to-day support including financial crimes risk advice to New Client New Business (NCNB) and Periodic Review teams (including DDR, EDR, and Remediation teams)
Perform financial crimes risk review of MSBNA products and services, including New Product Approval Process
Perform financial crimes risk review of MSBNA customers identified and escalated as part of the WM and ISG Consequence Framework review processes
Assist in review and escalation of MSBNA customers escalated via the Negative News and Reputational Risk Escalation Process
Actively manage and assist in strategic initiatives to promote process standardization, efficiency improvements, and financial crimes risk reduction
Providing financial crimes risk management and advisory services in support of the maintenance and growth of the MSBNA business
Assist and lead key projects and initiatives related to assessing and mitigating the Firm’s exposure to money laundering and reputational risk-relevant activities
Assist pipeline management and overall engagement with Business Unit, Operations, Technology, and Second Line of Defense Global Financial Crimes partners and stakeholders to onboard new, existing, and prospective MSBNA customer relationships
Actively identify, measure, control and remediate money laundering and reputational risk issues with partners and stakeholders in Business Unit, Operations, Technology, and Second Line of Defense Global Financial Crimes
Partner with the Second Line of Defense Global Financial Crimes Compliance teams to monitor client relationships on an ongoing basis and ensure compliance with regulatory expectations

Qualification

BSA/AML RegulationsKnow Your Customer (KYC)Customer Due Diligence (CDD)Anti-Money Laundering SpecialistData analysisMicrosoft OfficeLeadershipInterpersonal skills

Required

Have 8+ years of relevant experience with BSA/AML Regulations within the financial services industry, or at a financial services regulator (e.g., FINRA, Securities and Exchange Commission, Office of the Comptroller of the Currency, Federal Reserve Bank, etc.)
Bachelor's degree in Business, Finance, or other, related field
Strong leadership qualities with the ability to manage teams and evidence a strong work ethic as well as a high degree of integrity
Strong knowledge of Know Your Customer (KYC), Customer Identification Program (CIP), and Customer Due Diligence (CDD) requirements
Strong interpersonal skills and ability to communicate effectively both verbally and in writing
Ability to evidence a strong work ethic and maintain a high degree of integrity
Ability to take initiative, analyze, summarize, and communicate effectively
Ability to investigate, identify issues, impacts and trends to propose comprehensive solutions
Ability to work independently and in a team environment
Ability to handle highly confidential information with appropriate discretion
Ability to work in a matrixed organization, leveraging resources across the organization to complete deliverables

Preferred

Working knowledge of Microsoft Office (MS Excel, MS PowerPoint, MS Word)
Experience with data analysis related to the management of a financial crimes risk program
Expertise in managing programs focused on ensuring quality within AML programs
Certified as an Anti-Money Laundering Specialist by ACAMS or equivalent AML certification/license is a plus

Benefits

Commission earnings
Incentive compensation
Discretionary bonuses
Other short and long-term incentive packages
Other Morgan Stanley sponsored benefit programs

Company

Morgan Stanley

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Morgan Stanley is a financial services company that offers securities, asset management, and credit services.

Funding

Current Stage
Public Company
Total Funding
unknown
1997-02-05IPO

Leadership Team

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James Gorman
Chairman and CEO
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Ted Pick
Chief Executive Officer (CEO)
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