Asset managers are not currently subject to specific anti-money laundering (AML) monitoring or reporting obligations under the USA PATRIOT Act or Bank Secrecy Act in the same manner as banks, broker dealers, or other financial institutions are. However, other regulatory risks apply, such as broad U.S. criminal money laundering restrictions or complex U.S. economic sanctions prohibitions. In order to avoid regulatory and other AML related issues, advisers should adopt robust, risk-based policies and procedures in this area.
Join us for a live webcast on October 9, 2019 at 11:00am ET when Alvaro Soto, Senior Principal Consultant at ACA Compliance Group, and Jamie Schafer, Associate at Richards Kibbe & Orbe LLP will discuss the types of sanctions and money laundering risks assets managers face and best industry practices to mitigate those risks.
Who Should Attend?
This webcast is ideal for Anti-Money Laundering Compliance Officers (AMLCOs) at asset management firms.
All webcasts are recorded and sent to registrants following the live event.
Richards Kibbe & Orbe LLP is an Accredited New York State CLE Provider. This live transitional/non-transitional program has been approved for newly admitted and experienced attorneys in accordance with the requirements of the NYS Continuing Legal Education Board for 1.0 hr. Professional Practice credit.