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JPMorgan Compliance Officer - Associate 
Switzerland, Geneva, Geneva 
32565402

18.03.2025


As a Compliance Officer, Associate within our AML team, you will collect and document data to support AML investigations, ensuring compliance across all business lines and regions. You will interact with AML management, business units, and the firm's Legal, Audit, and Risk departments, exercising sound judgment and maintaining high standards in your work. Your role is crucial in driving consistency in our approach to AML and supporting the firm's regulatory obligations.

Job Responsibilities:

  • Collect and document data, including alert, investigation, or Suspicious Activity Report history, Know Your Customer information, relevant account and transaction data, and other required information to assist investigations.
  • Review and analyze underlying data to assess reasonable cause for escalating alerts to Investigations or clearing them.
  • Disposition and fully document all alerts, including supporting data, analysis, and rationale for disposition, within the case management system in a timely manner.
  • Build relationships with AML Investigations units, effectively communicating and transferring information for case investigations.
  • Conduct periodic internal account/customer reviews to identify potentially suspicious activity.
  • Function as a key contributor and demonstrate knowledge of AML issues as well as broader functional knowledge.
  • Participate in individual and department goal development and execute tactical strategies for goal attainment.

Required Qualifications, Capabilities, and Skills:

  • Investigative experience with exposure to international regions and multinational corporations.
  • Strong written and verbal communication skills.
  • Exceptional research and analytical skills.
  • Understanding of all lines of business and products.
  • Independent decision-maker, able to make time-sensitive assessments and discuss complex regulatory issues with senior management.
  • Understanding of regulatory concepts, including the Bank Secrecy Act, Office of Foreign Assets Control sanctions, and the USA PATRIOT Act.
  • Ability to interface with business counterparts to obtain information related to their client's transaction activity.
  • Experience working with internal groups, including Legal, Audit, or Risk, to ensure consistent understanding of requirements.
  • Proven ability to formulate and execute an investigation.
  • Proficient in MS Office (Outlook/Word/Excel/Access/PowerPoint).
  • Bachelor's degree or equivalent experience required.

Preferred Qualifications, Capabilities, and Skills:

  • CISM, CRISC, CISSP, CISA, CCEP, CRCM, CRCMP, GRCP, or other industry-recognized risk and compliance certifications preferred.
  • A background in auditing and the ability to understand internal controls is beneficial.
  • Knowledge of data analytical tools such as Tableau, Alteryx, or Python is a plus.