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Serve as the designated Compliance Officer and MLRO for the OKX entity in Seychelles.
Act as the primary point of contact with the Seychelles FSA and FIU, including during inspections and audits.
Draft, maintain, and update the Compliance Manual, AML/CFT program, internal policies.
Ensure that all regulatory returns, notifications, and reports are submitted in a timely and accurate manner.
Implement and oversee the AML/CFT compliance program, including KYC/CDD, enhanced due diligence, sanctions screening, transaction monitoring and record keeping.
Prepare and submit Suspicious Transaction Reports (STRs) to the FIU.
Oversee implementation of the Travel Rule and other requirements for virtual asset transfers.
Conduct ongoing customer reviews and periodic risk assessments.
Maintain and update the compliance risk register and oversee risk assessments.
Develop and implement a compliance monitoring and testing program; identify weaknesses and recommend remedial action.
Provide compliance reports to the Board of Directors, highlighting risks, breaches, and remediation.
Develop and deliver AML/CFT and compliance training to staff and directors.
Foster a strong culture of compliance across the organisation.
Monitor regulatory developments and advise management on implications for operations.
Work closely with business, operations, and technology teams to ensure compliance is integrated into day-to-day activities.
Supervise and mentor the Alternate Compliance Officer, ensuring readiness to deputise.
Support product and service expansion by providing compliance input.
7+ years of experience in compliance, AML/CFT, or regulatory risk management, with at least 2 years in a leadership role.
Strong knowledge of Seychelles’ regulatory framework.
Experience in drafting policies, handling STRs, and engaging with regulators.
Strong track record in managing compliance programs within financial services, fintech, or virtual assets.
Deep understanding of AML/CFT frameworks, regulatory governance, and operational compliance.
Proven ability to lead cross-functional teams and manage dotted-line relationships effectively.
Skilled in stakeholder management, influencing, and navigating complex regulatory landscapes.
Bachelor’s degree in Law, Finance, Business, or equivalent.
CAMS, CCAS, ICA, or equivalent AML/compliance certification.
Experience in cryptocurrency or blockchain compliance programs.
Familiarity with compliance technology and analytics tools.
Prior exposure to multi-jurisdictional compliance oversight.
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