I am a Compliance and AML Manager with over 15 years of experience in banking and financial services, specializing in KYC, AML/CTF, governance, and internal controls. Throughout my career, I have built and led compliance functions for multiple regulated financial institutions, coordinating annual compliance programs and recurring control cycles across all major regulatory risk areas. I have actively supported repeated regulatory inspections and supervisory reviews, contributing to timely regulatory responses and reduced remediation cycles through structured risk assessments and KYC/AML workflow optimization.
I advise senior management on high-risk cases and regulatory matters, operating effectively in hybrid and distributed environments. I played a key role in the organizational setup of a newly established bank, designing and updating compliance regulatory frameworks covering all core compliance risk areas applicable to regulated banking and non-banking financial institution activities. I coordinate annual compliance plans across multiple control streams and respond directly to inquiries from the National Bank of Romania.
My experience includes delivering advisory support to senior management on AML and KYC matters, integrating compliance requirements into new products and projects at the design stage, and developing and delivering annual recurring compliance training sessions for business and control functions. I have led AML and financial crime risk assessments for digital onboarding processes across multiple financial institutions and contributed to the design and refinement of AML risk assessment methodologies.
I have performed independent reviews of KYC/AML/CTF frameworks, conducted transaction and customer activity testing, and coordinated workflow optimization projects to support operational efficiency. I have managed compliance teams, ensured local operations comply with group rules and legal frameworks, and maintained institutional relationships with regulatory authorities.
I am skilled in remote collaboration, coordinating compliance activities with regional structures through digital reporting, standardized documentation, and recurring alignment calls. I have developed and delivered compliance and anti-corruption training programs, identified suspicious transactions, and supported ongoing supervisory oversight. My leadership style emphasizes structured problem-solving, professional judgment, strong ownership, and accountability, with a focus on asynchronous communication and regulatory documentation in virtual environments.