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Binance

Team Lead — Compliance Monitoring, Assurance & Testing (CMAT)

Posted an hour ago
10+ years experience
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AI Summary

The Team Lead is responsible for designing and executing an independent, risk-based compliance monitoring and assurance program to ensure adherence to ADGM FSRA regulations. This role involves leading a team to perform control testing, managing regulatory reporting, and providing evidence-based assurance to senior management and the Board.

The Team Lead for the Compliance Monitoring, Assurance & Testing (CMAT) team is responsible for designing and running Binance ADGM's independent, risk-based compliance monitoring and assurance programme. The role assures the Board, Senior Management and the FSRA that the firm's AML/CFT, market conduct, client-asset, and prudential controls are operating effectively and remain compliant with the ADGM Financial Services Regulatory Authority (FSRA) rulebooks and applicable UAE federal requirements.

This is a senior second-line-of-defence leadership role accountable for the disciplined testing of controls, timely escalation of findings, and evidence-based regulatory reporting that stands up to FSRA supervisory scrutiny.

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Responsibilities

Compliance Monitoring & Testing Programme

  • Own and maintain a risk-based annual Compliance Monitoring & Assurance Plan (CMAP), refreshed on risk assessment outcomes, FSRA thematic reviews, and changes in regulatory posture.

  • Design and execute control testing across AML/CFT, sanctions, market abuse, client-asset safeguarding, complaint handling, outsourcing, and technology/cyber governance.

  • Apply full-cycle assurance methodology: scoping → walkthroughs → sampling → testing → root-cause analysis → findings rating → remediation tracking → closure validation.

  • Deliver thematic deep-dives aligned to FSRA supervisory priorities (e.g., transaction monitoring effectiveness, Travel Rule compliance, EDD for high-risk clients, market abuse surveillance).

Regulatory Alignment (FSRA)

  • Ensure monitoring activities map to the FSRA AML/CFT Rulebook, Conduct of Business (COBS), General (GEN), Prudential (PRU), and Virtual Asset framework obligations.

  • Support the Compliance Officer and MLRO in demonstrating effective oversight under FSRA's risk-based supervision model.

  • Maintain evidence trails that satisfy FSRA information requests, on-site inspections, and thematic reviews.

  • Monitor regulatory change (FSRA consultations, ADGM notices, UAE Federal Decree-Law 20/2018 and its Executive Regulations, MoE/EO AML guidance) and reflect updates in the plan.

Findings, Reporting & Escalation

  • Produce clear, board-ready assurance reports with quantified findings, severity ratings, and management action plans.

  • Operate a robust issue-management and remediation-tracking framework with escalation protocols for overdue or high-risk items.

  • Present monitoring results to Risk Committees, Compliance Committees, and where required the Board/Audit Committee.

  • Liaise with Internal Audit and external auditors to ensure complementary (non-duplicative) coverage.

AML/CFT & Financial Crime Assurance

  • Test the effectiveness of CDD/EDD, KYC onboarding, periodic review, PEP/sanctions screening, transaction monitoring, and SAR/STR escalation processes.

  • Assess suspicious activity identification and reporting effectiveness, including FIU-UAE submission quality.

  • Verify Targeted Financial Sanctions (TFS) and asset-freeze controls.

Leadership & Team Management

  • Build, mentor, and lead a high-performing assurance team — setting testing standards, quality review, and coaching.

  • Foster a culture of challenge, professional scepticism, and integrity, consistent with SMCR conduct expectations.

  • Manage resource allocation against the CMAP and ensure delivery within agreed SLAs.

Governance & Continuous Improvement

  • Maintain CMAT policies, methodologies, and documentation to an auditable standard.

  • Drive automation and data analytics to strengthen monitoring coverage and efficiency.

  • Embed lessons learned into first- and second-line processes and training.


Requirements

Essential

  • 7–10+ years in compliance, assurance, internal audit, or regulatory supervision within financial services, fintech, preferably within crypto/VASP environments.

  • 3+ years leading teams or workstreams in a second-line or audit function.

  • Strong working knowledge of ADGM FSRA rulebooks and the UAE AML/CFT landscape; comparable MAS, HKMA, FCA, or DIFC/DFSA experience will be considered.

  • Proven track record designing and executing risk-based compliance monitoring/testing programmes.

  • Depth in AML/CFT, sanctions, and financial-crime control testing.

  • Excellent written and verbal English; strong report-writing and stakeholder-presentation skills.

Desirable

  • CAMS, CGSS, CRMA, CIA, ACCA/ACA, ICA, or equivalent certification 

  • Prior experience in a regulated crypto/VASP or high-growth fintech.

  • Data analytics, SQL, or audit-automation tooling skills.

  • Arabic language proficiency (advantageous, not required).


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