24 days old

CIB and CB GFCC Compliance - Compliance Manager, KYC Advisory, Vice President

Tampa, FL 33602
  • Job Code

CIB and CB GFCC Compliance - Compliance Manager, KYC Advisory, Vice President

Req #: 190040863
Location: Tampa, FL, US
Job Category: Compliance
Potential Referral Amount: 0 US Dollar (USD)

JPMorgan Chase & Co. (NYSE: JPM) is a leading global financial services firm with assets of $2 trillion and operations in more than 60 countries. The firm is a leader in investment banking, financial services for consumers, small business and commercial banking, financial transaction processing, asset management, and private equity.                    

Commercial Banking (“CB”) and Corporate and Investment Banking (“CIB”) Global Financial Crimes Compliance (“GFCC”) Advisory group supports the two line of business in complying with Financial Crimes laws and regulations relevant to all aspects of their business.  In the CB, the group’s supports several different sub-lines of business which include Corporate Client Banking, Middle Market Banking, Credit Markets (Chase Business Credit, Chase Capital, Chase Equipment Finance), Real Estate Banking, Commercial Term Lending, Community Development Banking, in addition to the Government Banking and Health Care, Higher Education and Not-For-Profit Banking ("GHHN").  In the CIB, the group supports Wholesale Payments, Securities Services, Global Loan and Trade, Markets, and Inestment Banking sub-LOBs. 


The Anti-Money Laundering ("AML") GFCC team supporting CB and CIB seeks a highly motivated, team oriented Compliance Manager for their KYC Advisory team. This role will focus on maintaining oversight of the KYC due diligence programs by providing daily advisory and support needed to execute the firm’s policies.   

The position will also include supporting other projects and initiatives related to AML, the Bank Secrecy Act ("BSA") and the USA PATRIOT Act including various AML/KYC monitoring related activities, exam management, controls and strategic initiatives to help drive change and strong culture of compliance within both LOBs.


A successful candidate for this role is decisive, responsible, and a self-starter who demonstrates knowledge of financial crimes risk. In addition, this candidate must have strong banking controls knowledge.



  • Assess money laundering/terrorist financing risk in various client segments, recommend mitigating factors and controls;

  • Research, analyze and provide recommended remediation efforts or Action Plans for clients that present AML and/or reputational risk;

  • Identify and escalate control issues to ensure continuity across Commercial Banking and Corporate and Investment Banking;

  • Partner with Corporate GFCC KYC Advisory and other relevant Corporate GFCC functions to drive change;

  • Chair global calls with cross-regional partners

  • Interface with bankers, regional partners and cross line of business GFCC and provide guidance and support related to client specific issues and KYC requirements;

  • Provide support to line of business and Operations partners on Global KYC standards (implementation and interpretation);

  • Support the business through control forums, regulatory exams, GFCC testing/monitoring, and internal audits; which includes providing guidance on their development of new and enhanced compliance control processes in response to those forums, exams, tests or audits;

  • Demonstrate strong organizational, analytical, negotiation, written and verbal communication skills;

  • Develop, implement and maintain procedures and job aides, as necessary;

  • Support general Compliance activities and other responsibilities, including special projects, training, and ad-hoc reporting, as assigned;

  • Assist in providing AML/KYC training to the business and other control staff as necessary;

  • Drive cross-regional consistency within GFCC Advisory organization;

  • Provide guidance to the line of business in drafting relevant policies and procedures;

  • Stay abreast of industry trends and be able to anticipate areas of focus and attention of regulators, keeping business management and Compliance colleagues informed;

  • Effective use of resources to efficiently to reach goals


  • Minimum of 5 years relevant experience working with or in Compliance, Risk Management or Audit;

  • Bachelor's degree or equivalent experience required;

  • Expert knowledge of AML/BSA regulatory requirements;

  • Ability to work independently on multiple assignments and meet deadlines in a fast paced environment;

  • Proven experience working in a complex multi-national organization

  • Advanced problem solving and critical thinking skills

  • Excellent written and oral communication skills with the ability to present complex information to senior management.

  • Proven ability to build strong partnerships with colleagues

  • Highly skilled in PowerPoint, Excel and Word

















Keyword: consumer%20banking


Posted: 2019-07-25 Expires: 2019-09-05

For over 200 years, JPMorgan Chase & Co has provided innovative financial solutions for consumers, small businesses, corporations, governments and institutions around the world.

Today, we're a leading global financial services firm with operations servicing clients in more than 100 countries.

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CIB and CB GFCC Compliance - Compliance Manager, KYC Advisory, Vice President

JPMorgan Chase & Co.
Tampa, FL 33602

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