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Senior AML/KYC Analyst

Location: Boston, Massachusetts

Workspace Type: Hybrid

Base Salary: $90,000 - $115,000

A growing, global company is hiring a Senior Associate to support anti-financial crime and KYC efforts across its global compliance platform. This role blends regulatory diligence, stakeholder-facing execution, and program support across a sophisticated investment environment. It is ideal for someone who thrives in complexity; coordinating diligence across investors and counterparties, analyzing nuanced ownership structures, navigating sanctions and adverse media reviews, and helping strengthen a scalable AFC / KYC framework across a global business.

Responsibilities

  • Support the continued buildout and execution of the firm’s AFC / KYC program, with particular focus on counterparties, portfolio companies, and investments
  • Help maintain and enhance AFC / KYC policies, procedures, and related documentation
  • Partner directly with Legal, Operations, Deal Teams, and external counsel to facilitate diligence across investors, counterparties, portfolio companies, and other relevant parties
  • Collaborate with global Compliance and Legal teams on AFC / KYC matters across the platform
  • Review and analyze complex ownership structures to identify ultimate beneficial owners
  • Provide guidance to internal stakeholders on KYC requirements and related risk considerations
  • Conduct sanctions and adverse media screening and assess potential matches for escalation or follow-up
  • Help manage and maintain systems that support the AFC / KYC program
  • Support ongoing monitoring efforts across relevant parties and transactions
  • Escalate suspicious or higher-risk matters appropriately and assist with internal investigations when needed
  • Monitor regulatory developments and support implementation of new AFC / AML requirements
  • Ensure documentation is complete, organized, and aligned with internal policy and regulatory expectations

Preferred / Nice-to-Haves

  • Relevant experience in AML / KYC, anti-financial crime, or broader financial crime compliance
  • Working knowledge of AFC / AML regulations applicable to investment advisers and broker-dealers, including the Bank Secrecy Act
  • Familiarity with global sanctions frameworks, including OFAC and other international regimes
  • Understanding of risk-based KYC and customer due diligence practices
  • CAMS or similar certification is a plus
  • Strong judgment, attention to detail, and ability to assess risk thoughtfully
  • Strong communication and interpersonal skills, with comfort working across functions and seniority levels
  • High ownership mindset, discretion, and comfort handling sensitive information

Why this opportunity

  • Highly visible seat within a sophisticated global compliance function
  • Broad exposure across investors, counterparties, portfolio companies, and transaction activity
  • Strong mix of regulatory depth, stakeholder interaction, and hands-on execution
  • Opportunity to work closely with Legal, Compliance, Operations, and investment professionals in a collaborative environment
  • Excellent next step for someone looking to deepen anti-financial crime and KYC expertise within a premier alternative asset management platform

Job ID: 1681

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