Citi Senior Compliance Officer - AML Pre-Closure Testing in Irving, Texas

  • Primary Location: United States,Texas,Irving

  • Other Location: United States,Delaware,Wilmington; United States,North Carolina,Charlotte; United States,Texas,Dallas; United States,South Carolina,Fort Mill

  • Education: Bachelor's Degree

  • Job Function: Compliance and Control

  • Schedule: Full-time

  • Shift: Day Job

  • Employee Status: Regular

  • Travel Time: Yes, 25 % of the Time

  • Job ID: 16058288


About Citi

Citi, the leading global bank, has approximately 200 million customer accounts and does business in more than 160 countries and jurisdictions. Citi provides consumers, corporations, governments and institutions with a broad range of financial products and services, including consumer banking and credit, corporate and investment banking, securities brokerage, transaction services, and wealth management. Our core activities are safeguarding assets, lending money, making payments and accessing the capital markets on behalf of our clients.

Citi’s Mission and Value Proposition at explains what we do and Citi Leadership Standards at explain how we do it. Our mission is to serve as a trusted partner to our clients by responsibly providing financial services that enable growth and economic progress. We strive to earn and maintain our clients’ and the public’s trust by constantly adhering to the highest ethical standards and making a positive impact on the communities we serve. Our Leadership Standards is a common set of skills and expected behaviors that illustrate how our employees should work every day to be successful and strengthens our ability to execute against our strategic priorities.

Diversity is a key business imperative and a source of strength at Citi. We serve clients from every walk of life, every background and every origin. Our goal is to have our workforce reflect this same diversity at all levels. Citi has made it a priority to foster a culture where the best people want to work, where individuals are promoted based on merit, where we value and demand respect for others and where opportunities to develop are widely available to all.

The Anti-Money Laundering Pre-Closure Senior Compliance Testing Officer is responsible for overseeing the AML Pre-Closure Testing program to validate evidence of project completion. This position identifies key risks and control points related to the projects under review and ensures appropriate testing of those key risks and control points, reports the results to the project owners, GAML PMO, business and other senior managers, and monitors to confirm that any corrective action plans are implemented. This position will support the AML Pre-Closure Testing Director in executing the AML pre-closure testing program as follows:

  • Assisting in planning, management, oversight, and liaising with the GAML PMO, project owners, Businesses, regional / product AML/ABC/OFAC (AML) Compliance, internal Audit and Compliance Testing.

  • Participating and leading AML pre-closure testing reviews. Including preparation of work paper documentation in accordance with Global Compliance Testing standards.

  • Collecting and reporting AML pre-closure AML review results to: identify trends and areas of emerging risks; and communicate analysis to internal stakeholders to ensure consistency in approach to monitoring and addressing these emerging risks.

  • Participating in AML governance forums to provide insight on the control environment and identified emerging risks, including project meetings related to upcoming pre-closure testing.

  • Supporting regulatory, audit or third party activities related to AML pre-closure Testing.

  • Participating in the delivery of training resources and tools to support AML Compliance Testing resources and programs.


  • Bachelor's Degree Required

  • Experienced compliance professional with a strong understanding of Anti-Money laundering regulations and their application to financial services businesses (2+ years in a managerial role).

  • Experienced in developing, leading and completing projects with risk/compliance testing components.

  • Experience in Compliance Testing or Internal/External Audit (7+ years).

  • Experience assessing regulatory areas to develop annual testing plans.

  • Experience interacting with regulators.

  • Ability to gain an understanding of Corporate and product-specific policies/control environment, as well as key regulatory requirements.

  • Strong team player with demonstrated ability to influence and collaborate with peers and business leaders.

  • Strong leadership and talent development skills

  • Proven ability to manage a diverse and disparate team and rationalize existing resources

  • Strong oral and written communication skills

  • Strong ability to manage team priorities to meet deadline

  • Experience in dealing with cross-border and international business strategic direction and standards for Consumer-focused banking, lending, investments and insurance products globally.