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Binance via Lever

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

United Arab Emirates lead
still open verified 22h ago posted 5d ago seen just now
Apply at jobs.lever.co

This is the employer's own posting, not a copy on a job board.

What we know

Is it still open?

Confirmed still open

Last checked 22h ago — checked against the employer's own applicant tracking system, which is the company answering directly.

We re-read the employer's own applicant tracking system and the posting was still there. That is the company answering directly.

Check this listing's status as JSON

How old is it?

Posted 5d ago

The date the source published, not the day we noticed it (2026-09-25). Last seen at its source just now.

We have tracked this listing since 26 Sep 2026 (5 days). The employer's own board has carried it every time we have read it, most recently just now.

Is it remote?

Marked remote on the employer's board

Their board carries a remote setting on this posting — a field they filled in, not wording we read. The location field names somewhere specific, which is usually where the team or the entity sits.

Who may apply?

United Arab Emirates

The description states no restriction of its own. This is the source's own tag.

Pay not stated

Similar roles pay $87.9k–147.5k/yr

Middle 50% of 16 listings that do state pay — Legal & Compliance · all levels · EMEA · USD/year. This employer has published no salary; this is what comparable listings we hold disclose, never converted between currencies or periods. How this is calculated.

Skills named in the ad

AuditData AnalysisMentoringOnboardingSLASQLTeam Management

Recognised terms only, from a fixed vocabulary — this is what CV matching compares against.

Carried by 1 source

The listing

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.

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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