Senior Compliance Analyst

September 29, 2026
Application ends: December 28, 2026

Job Description

REQUIREMENTS

  • Bachelor’s degree in Law, Finance, Compliance, Risk Management, Business, or a related field.
  • 3-7 years of relevant compliance experience within financial services, fintech, digital assets, banking, brokerage, or regulated environments.
  • Strong practical knowledge of AML/CFT frameworks, KYC/CDD/EDD processes, sanctions compliance, and transaction monitoring.
  • Experience working with regulatory requirements, compliance policies, procedures, and operational controls.
  • Ability to independently manage compliance activities with limited supervision.
  • Experience preparing documentation for audits, regulatory reviews, or internal assessments.
  • Strong analytical skills with the ability to investigate issues and identify compliance risks.

Preferred

  • Experience within Virtual Asset Service Providers (VASPs), crypto exchanges, digital asset platforms, or blockchain-related businesses.
  • Familiarity with VARA, FATF recommendations, UAE AML/CFT requirements, or similar regulatory frameworks.
  • Experience with compliance technology platforms such as KYC providers, blockchain analytics, transaction monitoring, or case management systems.
  • Relevant professional certifications such as CAMS, ICA, CFE, CRCM, or equivalent are advantageous.

RESPONSIBILITES

  • Perform daily compliance operations including monitoring, review, investigation, documentation, and escalation activities.
  • Support AML/CFT, sanctions, PEP, adverse media screening, and customer due diligence processes.
  • Review KYC/KYB documentation, customer risk classifications, enhanced due diligence cases, and onboarding exceptions.
  • Conduct transaction monitoring reviews and support investigation of potentially suspicious activities.
  • Prepare compliance reports, management information, regulatory records, and internal compliance dashboards.
  • Support suspicious transaction reporting processes and maintain appropriate documentation and audit trails.
  • Monitor regulatory developments, especially VARA requirements and applicable UAE AML/CFT obligations, and support implementation of changes.
  • Assist with compliance monitoring plans, control testing, gap assessments, and remediation tracking.
  • Review internal procedures, SOPs, policies, and operational workflows to ensure alignment with regulatory expectations.
  • Support compliance reviews of marketing materials, customer communications, products, and operational changes.
  • Maintain compliance registers, records, evidence repositories, and documentation required for regulatory inspections and audits.
  • Collaborate with Operations, Technology, Risk, Product, Customer Experience, and other departments to embed compliance controls into business processes.
  • Support compliance training initiatives and promote a strong compliance culture across the organization.

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