20 - 25 minutes
Certificate Included
United States
This course provides a practical and principles based overview of how Anti Money Laundering and Counter Terrorist Financing programs are designed, governed, and maintained in the United States. In approximately 20 to 25 minutes, learners will explore how risk assessments form the foundation of AML programs and how those risks shape controls, governance, and oversight. The course is designed for professionals working in compliance, risk management, financial crime, operations, audit, and senior management roles. It focuses on the U.S. regulatory framework, including expectations set by FinCEN, federal banking regulators, and state supervisors, while remaining aligned with international standards such as those issued by the FATF. Learners will examine core risk categories, the development of risk based AML programs, governance responsibilities across the Board and BSA Officer roles, independent testing requirements, and the use of metrics and management information. Through realistic scenarios and regulatory focused explanations, the course emphasizes sound judgement, escalation, documentation, and how compliance works in practice within a regulated financial services environment.
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