Role Description
Join Alpaca Securitiesβ dynamic and fully remote Compliance team dedicated to safeguarding the integrity of the financial markets. In this role, you will play a critical part in supporting the firmβs BSA/AML, Anti-Fraud, and Securities Fraud Monitoring programs. You will lead and support investigations, ensure adherence to regulatory requirements, and help build a scalable and risk-based compliance infrastructure that meets evolving business and regulatory demands. This position reports directly to the AMLCO (Anti-Money Laundering Compliance Officer).
Things You Get To Do
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Collaborate with the AMLCO to implement and refine investigative procedures across CIP/KYC, AML, Anti-Fraud, and Securities Fraud Monitoring initiatives.
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Conduct in-depth investigations into potentially suspicious activity, including securities fraud, account manipulation, and other financial crimes identified through transaction monitoring alerts, escalations, and referrals.
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Prepare, document, and file Suspicious Activity Reports (SARs) in compliance with FinCEN requirements and internal policies.
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Review and respond to sanctions screening alerts, FinCEN 314(a) and 314(b) requests, and other regulatory inquiries.
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Maintain and continuously update firm-wide risk assessments covering BSA/AML, sanctions, fraud, and securities surveillance programs.
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Partner with internal stakeholders and assist during external audits, examinations, and regulatory engagements.
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Provide guidance and support across various business units, including trading, operations, and customer support, to ensure alignment with compliance protocols.
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Stay abreast of regulatory developments and industry best practices, particularly those related to the Bank Secrecy Act, the USA PATRIOT Act, OFAC regulations, and SEC/FINRA rules.
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Support the development and refinement of policies, procedures, monitoring controls, and compliance reporting mechanisms.
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Lead and contribute to special projects, compile investigative findings, and prepare reports for management, regulators, and auditors.
Qualifications
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5+ years of experience in financial crime investigations (AML, fraud, securities fraud, or related disciplines).
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Strong understanding of U.S. regulatory requirements (e.g., BSA/AML, USA PATRIOT Act, SEC/FINRA regulations).
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Demonstrated ability to identify and escalate potential market manipulation or suspicious trading activity.
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Proficiency in transaction monitoring systems and case management tools.
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Strong analytical, documentation, and SAR-writing skills.
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Effective communication and problem-solving abilities.
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Experience with Google Sheets or MS Excel, including pivot tables and advanced filtering.
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Working knowledge of domestic and international payment systems.
Benefits
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Competitive Salary & Stock Options.
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Health Benefits.
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New Hire Home-Office Setup: One-time USD $500.
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Monthly Stipend: USD $150 per month via a Brex Card.