Compliance - AML Manager

Crypto.comChicago, IL
$120,000 - $145,000Hybrid

About The Position

Our Local Programs and Regulatory Compliance team is responsible for ensuring compliance with local laws and regulations in the countries where we operate. Financial crime moves fast — our AML program needs to move faster. As AML Manager on our Local Programs and Regulatory Compliance team, you'll lead the frontline defense against money laundering and fraud, building the monitoring programs, policies, and controls that keep our firm — and the broader financial system — safe. You'll work shoulder-to-shoulder with legal, compliance, and technology teams, and act as a trusted voice with regulators like FINRA, SEC, and FinCEN.

Requirements

  • Minimum 5 years at a Financial Service firm, or regulator.
  • Series 7 required. Series 24, 57 a plus.
  • Ability to multi-task in a highly demanding environment with the ability reprioritize and shift assignments as necessary.
  • Strong interpersonal skills are critical, along with an openness to different approaches and viewpoints.
  • Foster collegial and partnership-focused relationships across departments and skillsets, particularly with technology and legal professionals.
  • Excellent verbal, writing and presentation skills and can interact with stakeholders at all levels within the organization and with regulators.
  • Ability to relay complex technical concepts to non-technical audience.
  • Strong attention to detail is critical.
  • Must possess high ethical standards, respect for confidentiality and privacy.

Nice To Haves

  • Series 24
  • Series 57

Responsibilities

  • Lead an AML program to monitor transactions and customer activities for signs of money laundering, fraudulent activity, and file suspicious activity reports (SARs).
  • Create policies and procedures and workflow tools to enhance the monitoring, detection, reporting and prevention of money laundering activity. Design and build monitoring scenarios and support model validation programs.
  • Act as an AMLCO, monitor industry trends and ensure compliance with all relevant BSA/AML and securities laws, including guidance and red flags issued by FINRA, SEC, and FinCEN.
  • Develop and maintain policies and procedures regarding the Firm's AML, SARs, and KYC programs, and Senior Management reporting.
  • Support risk assessments and regular testing to access the effectiveness of the firm’s policies and associated controls.
  • Collaborate across the legal, compliance and other corporate functions to assist in the development and rollout of leading compliance related technologies, controls, and processes.
  • Engage in a variety of firmwide compliance issues and interact with Senior Legal and Compliance professionals and regulators.
  • Engage in industry wide issues and assist in developing firm responses to new rules, AML training and other initiatives.

Benefits

  • Competitive salary
  • Attractive annual leave entitlement including: birthday, work anniversary
  • 401(k) plan with employer match
  • Eligible for company-sponsored group health, dental, vision, and life/disability insurance
  • Work Flexibility Adoption. Flexi-work hour and hybrid set-up
  • Internal mobility program
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