2016 Mobile Ad Summit

Anti-Money Laundering & Financial Crimes Conference

May 
25
 – 
26
, 
2022
  |  
New York Marriott Marquis
May 
25
–
26
, 
2022
  |  
New York Marriott Marquis
Register
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Anti-Money Laundering & Financial Crimes Conference

May 
25
 – 
26
, 
2022
  |  
New York Marriott Marquis

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Clear your calendar - It's going down! Splash Blocks kicks off on April 20th, and you're invited to take part in the festivities. Splash HQ (122 W 26th St) is our meeting spot for a night of fun and excitement. Come one, come all, bring a guest, and hang loose. This is going to be epic!

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Explore why the most dynamic leaders are building strategies for agile event marketing with a focus on scaling in-person and virtual events that are fast, flexible, and hyper-effective at driving meaningful connections.

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Clear your calendar - It's going down! Bedford V2 kicks off on April 20th, and you're invited to take part in the festivities.


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• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA


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The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

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This year, we have added what we think will be a particularly useful panel for your SAR filings. Through the lens of the Anti-Money Laundering Act of 2020’s requirement to provide “information with a high degree of usefulness to government authorities,” learn how to write more effective SARs by exploring law enforcement, regulator, and industry perspectives and sharing best practices.

 

Moderator

Nicole De Bello, Anti-Money Laundering Counsel, Executive Director, Morgan Stanley 


Panelists 

Timothy Casey, Financial Crimes Compliance, Goldman Sachs 

Melissa Jameson, Robinhood

Kate Lesker, U.S. Securities and Exchange Commission

David Pitluck, Acting Chief of the Business and Securities Fraud Section at the United States Attorney’s Office for the Eastern District of New York


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This year, we have added what we think will be a particularly useful panel for your SAR filings. Through the lens of the Anti-Money Laundering Act of 2020’s requirement to provide “information with a high degree of usefulness to government authorities,” learn how to write more effective SARs by exploring law enforcement, regulator, and industry perspectives and sharing best practices.

 

Moderator

Nicole De Bello, Anti-Money Laundering Counsel, Executive Director, Morgan Stanley 


Panelists 

Timothy Casey, Financial Crimes Compliance, Goldman Sachs 

Melissa Jameson, Robinhood

Kate Lesker, U.S. Securities and Exchange Commission

David Pitluck, Acting Chief of the Business and Securities Fraud Section at the United States Attorney’s Office for the Eastern District of New York


moderator

Name, Title

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Name, Title


Title

Intro body copy text description goes here.

This year, we have added what we think will be a particularly useful panel for your SAR filings. Through the lens of the Anti-Money Laundering Act of 2020’s requirement to provide “information with a high degree of usefulness to government authorities,” learn how to write more effective SARs by exploring law enforcement, regulator, and industry perspectives and sharing best practices.

 

Moderator

Nicole De Bello, Anti-Money Laundering Counsel, Executive Director, Morgan Stanley 


Panelists 

Timothy Casey, Financial Crimes Compliance, Goldman Sachs 

Melissa Jameson, Robinhood

Kate Lesker, U.S. Securities and Exchange Commission

David Pitluck, Acting Chief of the Business and Securities Fraud Section at the United States Attorney’s Office for the Eastern District of New York


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Home
2022 Program
2023 Event
Anti-Money Laundering & Financial Crimes Conference - 2022 PROGRAM
Wednesday
, 
June 
16
 — 
Thursday
, 
June 
17

June 16–17, 2021  |  Virtual

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Anti-Money Laundering & Financial Crimes Conference - 2022 PROGRAM

FEBRUARY 7–8, 2022 | NEW YORK CITY

Wednesday
, 
June 
16
 — 
Thursday
, 
June 
17

A VISION FOR THE FUTURE

October 4–7

|  In-person and virtual

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May 22-23, 2023

Convene One Liberty Plaza • New York, NY

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The latest in ANTI-MONEY LAUNDERING and FINANCIAL CRIMES

• Artificial Intelligence
• Operational Risk
• Accelerated Settlement Cycle
• Consolidated Audit Trail (CAT)
• Industry Modernization Efforts
• Central Bank Digital Currencies (CBDC)
• Cybersecurity and more

• Artificial Intelligence
• Operational Risk
• Accelerated Settlement Cycle
• Consolidated Audit Trail (CAT)
• Industry Modernization Efforts
• Central Bank Digital Currencies (CBDC)
• Cybersecurity and more

SIFMA’s 48th Annual Operations Conference & Exhibition | October 4-7, 2021

Join us for SIFMA’s two-day, virtual Anti-Money Laundering & Financial Crimes Conference.

AML 2022 is rescheduled!

AML 2022 has been rescheduled!

SIFMA’s Anti-Money Laundering & Financial Crimes Conference is the leading forum for professionals from the securities industry, regulatory agencies and law enforcement to discuss current legal and regulatory developments and priorities in the AML and financial crime space.

 

On May 25-26, 2022, we gathered in New York City to learn about regulatory and examination priorities and lessons learned from enforcement; participate in interactive financial crime case studies; and hear industry perspectives on the latest developments in the AML and financial crime space. 


Explore key takeaways from our conversations and register today to join us from May 22-23, 2023 at Convene One Liberty Plaza in New York City.

Regulatory Reform Efforts

Human Trafficking

Fraud Trends

Sanctions Developments

Operational Challenges

And more

Consolidated Audit Trail (CAT)

Cybersecurity and more

CDC, state and local guidelines will be followed on-site. Check back in June for details of the protocols we're putting in place - which we'll continue to review and update - as well as information on the program format.

We look forward to seeing you and collaborating in person. Virtual option also available.

Key Takeaways
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2022 Takeaways
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2023 Registration
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2022 KEYNOTE SPEAKERS

Lisa O. Monaco

Deputy Attorney General
United States Department of Justice

Zen is a pioneer in the field of mobile advertising. 3DAYS is the 5th company that has achieved a Fortune 500 ranking under his guidance.

Brian E. Nelson

Under Secretary for Terrorism
and Financial Intelligence
U.S. Department of the Treasury

With a decade of leadership experience at 3DAYS, Welsh oversees sales, operations, growth initiatives and strategic alliances.

WHY ATTEND

Professionals of all levels can access insightful conversations with financial services leaders and regulators, valuable professional development opportunities, and timely and topical discussions.

Gain Expert Insights

Hear from industry leaders and regulators while engaging with peers and colleagues.

Earn Credits

Participants will be eligible for continuing education credits, including CAMS, CLE and CPE.

Explore our Showcase

Visit our Sponsor Showcase to learn about the latest products and services for anti-money laundering and financial crime compliance.

"

Topics are all very relevant to what is happening today and all of the speakers, from different segments of the industry, did a great job.

— SIFMA Ops Participant

2022 PROGRAM

Our program features keynote addresses by industry and regulatory leaders, lively panel discussions, provocative case studies and in-depth breakout sessions. Past speakers have included FinCEN, the FBI, FINRA and more.

Program Topics

At AML 2022, we heard from 50+ industry experts and regulators on the hottest topics in the AML and financial crime space in years, including:

AML Act

Hear industry and regulatory perspectives on what is the most significant piece of legislation in the past 20 years since the Patriot Act.

Keynotes with DOJ and Treasury

Hear from the U.S. Department of Justice and U.S. Treasury during this most consequential time for markets and the world.

Cryptocurrency

Learn how firms are managing AML risks and regulatory expectations in this rapidly evolving and exciting space.

Sanctions

Explore how firms are responding to the rollout of unprecedented sanctions at a breakneck pace.


Breakout Sessions

Delve into important questions on top-of-mind topics including:

SARs

Sanctions

Fraud Case Studies

Market Volatility

Terrorism and Geopolitical Risk

Model Risk and Oversight

Emerging Risk Management

Data Analytics

Emerging Risk Management

Conference Planning Task Force

SIFMA is a member-driven organization; we are grateful to our 2022 Conference Planning Task Force:

 

- Nicole De Bello, Executive Director, Morgan Stanley

- Margaret Edmunds, Director of AML and Corporate Compliance, Baird

- Jim Fiebelkorn, BSA/AML Program and Sanctions, Charles Schwab & Co and Charles Schwab Bank

- Sarah Green, Global Head of Financial Crimes, Vanguard Group Inc.

- Adrienne Kosta, Vice President, Anti-Money Laundering Officer, Fidelity Investments

- Catherine LaFalce, Managing Director, Global AML Compliance, Citigroup Global Markets

- Justin Mendelsohn, Head of AML and Sanctions, Fidelity Digital Asset Services, Fidelity Investments

- Robert Molloy, Chief AML Officer, Raymond James Financial

- Jeffrey Weiss, Head of Financial Crimes, Robinhood Financial LLC

- Alan Williamson, Director, Business Oversight Compliance, Barclays Investment Bank Americas 

- Meg Zucker, Global Anti-Money Laundering Head, RBC Capital Markets LLC

All times in ET and subject to change.

Day 1: Monday, February 7

Monday, Oct 4

7:30 a.m. - 5:45 p.m.

Registration

8:15 a.m. - 9:00 a.m.

Networking Breakfast

9:00 a.m. - 9:10 a.m.

Welcome Remarks

9:10 a.m. - 9:40 a.m.

Keynote Address

9:40 a.m. - 10:55 a.m.

Panel Discussion: Regulatory/Enforcement Developments and 2022 Priorities

10:55 a.m. - 11:20 a.m.

Networking Break

11:20 a.m. - 12:35 p.m.

Breakout 1A: SARs

11:20 a.m. - 12:35 p.m.

Breakout 1B: Sanctions

12:40 p.m. - 1:50 p.m.

Networking Lunch

1:50 p.m. - 3:05 p.m.

Breakout 2A: Fraud Case Studies

1:50 p.m. - 3:05 p.m.

Breakout 2B: Market Volatility

3:05 p.m. - 3:30 p.m.

Networking Break

3:30 p.m. - 4:45 p.m.

Panel Discussion: Perspectives on the AML Act and CTA Implementation

4:45 p.m. - 5:45 p.m.

Networking Reception

9:00 a.m. - 9:10 a.m.

Day 2: Tuesday, February 8

Monday, Oct 4

7:00 a.m. - 3:30 p.m.

Registration

7:45 a.m. - 8:30 a.m.

Networking Breakfast

8:30 a.m. - 9:00 a.m.

Keynote Address

9:05 a.m. - 10:05 a.m.

Breakout 3A: Model Risk and Oversight

9:05 a.m. - 10:05 a.m.

Breakout 3B: Terrorism and Geopolitical Risk

10:05 a.m. - 10:30 a.m.

Networking Break

10:30 a.m. - 11:45 p.m.

Panel Discussion: To the Digital Universe and Beyond!

11:45 a.m. - 12:55 p.m.

Networking Lunch

12:55 p.m. - 1:55 p.m.

Breakout 4A: Emerging Risk Management

12:55 p.m. - 1:55 p.m.

Breakout 4B: Data Analytics

1:55 p.m. - 2:15 p.m.

Networking Break

2:15 p.m. - 3:30 p.m.

Panel Discussion: Industry Hot Topics

3:30 p.m. - 4:00 p.m.

Law Enforcement Case Study

4:00 p.m.

Conference Adjourns

9:00 a.m. - 9:10 a.m.

Monday, Oct 4

Monday, Oct 4

All times in ET. Times are subject to change.

VIEW PROGRAM
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PROGRAM 

Our program features keynote addresses by industry and regulatory leaders, lively panel discussions, provocative case studies and in-depth breakout sessions. Past speakers have included FinCEN, the FBI, FINRA and more. Please stay tuned for additional details and speaker announcements for this year's program.


All times in ET and subject to change.

Wednesday,
May 25, 2022
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Thursday,
May 26, 2022
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7:30 a.m. - 5:30 p.m.


Registration

Special Purpose Acquisition Corporations (SPACs) have exploded in recent years, far overtaking traditional IPOs as a means of going public. The pace of so-called de-SPAC transactions has also accelerated, as has the pace of lawsuits asserting securities fraud in connection with either the SPAC formation, the de-SPAC transaction, or sometimes even both.

The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

7:30 a.m. - 8:30 a.m.


Networking Breakfast

 Sponsored by TRM Labs

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

8:30 a.m. - 8:40 a.m.


Welcome Remarks

 Description here

 Speaker

Ira D. Hammerman, Executive Vice President & General Counsel, SIFMA

Speaker

Ira D. Hammerman

Executive Vice President & General Counsel, SIFMA

8:40 a.m. - 9:10 a.m.


Keynote Address: Under Secretary Brian Nelson, US Department of the Treasury

Special Purpose Acquisition Corporations (SPACs) have exploded in recent years, far overtaking traditional IPOs as a means of going public. The pace of so-called de-SPAC transactions has also accelerated, as has the pace of lawsuits asserting securities fraud in connection with either the SPAC formation, the de-SPAC transaction, or sometimes even both.

The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

speaker

Brian E. Nelson
Under Secretary for Terrorism and Financial Intelligence
U.S. Department of the Treasury

9:10 a.m. - 10:25 a.m.


Regulatory/Enforcement Developments and 2022 Priorities

Hear directly from regulators and policy makers about 2021 developments in the AML and financial crime space and their regulatory and examination priorities for 2022. Discussion topics will include expectations for the year and changes your firm may wish to consider for your compliance program to address regulatory expectations, new trends and typologies, and lessons learned from enforcement.

moderator

Adrienne Kosta, Head of Financial Crimes Compliance Program Office/Deputy Chief AML Officer, Fidelity Investments

panelists

Stephanie Brooker, Partner, Gibson, Dunn & Crutcher LLP

Katrina Carroll, Chief Counsel, Financial Crimes Enforcement Network (FinCEN), U.S. Department of the Treasury

Jason Foye, Senior Director, AML Investigative Unit, FINRA

Michael Rufino, Associate Regional Director U.S. Securities and Exchange Commission

10:25 a.m. - 10:50 a.m.


Networking Break


The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

10:50 a.m. - 12:05 p.m.


Breakout Session 1A: SARs

This year, we have added what we think will be a particularly useful panel for your SAR filings. Through the lens of the Anti-Money Laundering Act of 2020’s requirement to provide “information with a high degree of usefulness to government authorities,” learn how to write more effective SARs by exploring law enforcement, regulator, and industry perspectives and sharing best practices.

moderator

Nicole De Bello, Anti-Money Laundering Counsel, Executive Director, Morgan Stanley

panelists

Timothy Casey, Vice President, Goldman Sachs

Melissa Jameson, Head of Financial Crimes Investigations, Robinhood

Kate Lesker, Special Counsel, Office of Chief Counsel, Division of Trading and Markets, U.S. Securities and Exchange Commission

David Pitluck, Chief, Business and Securities Fraud Section, U.S. Attorney's Office, Eastern District of New York


Breakout Session 1B: Sanctions

The panel will look at how U.S. sanctions against China, Venezuela and Russia are evolving under the Biden Administration and what to expect from Treasury’s Sanctions Review. It will also examine how regulators are addressing new threats like ransomware through sanctions. The panel will also examine recent compliance challenges.

moderator

Dorothy Bennett, Global Head of Sanctions, Managing Director, JPMorgan Chase & Co.

PANELISTS

Allie Cheatham, Chief Sanctions Officer for Personal Banking and Wealth Management, Citi

Alexandre Manfull, Assistant Director, Sanctions Compliance and Evaluation, Office of Foreign Assets Control (OFAC), U.S. Department of the Treasury

Dave Stetson, Partner, Steptoe

Jonathan Thomas, Global Head, Sanctions Group, Goldman Sachs


Breakout Session 1C: An Update on AML and Sanctions Programs in a World that Contains Crypto Currencies, Partner Workshop with LexisNexis® Risk Solutions

Sponsored by LexisNexis® Risk Solutions


This session will provide an update on the AML Act of 2020 and a review of the current and future states of cryptocurrency in the context of today’s global climate.

 

1. What is the “Cash Out Dilemma”?

2. Is crypto to the best of worst tool for laundering money?

3. With the vast majority of Russia’s access to SWIFT eliminated, are Russians moving to crypto?

moderator

Daniel M. Polar, Director – Financial Crime Compliance, LexisNexis Risk Solutions

panelists

Kurt Drozd, Director, Sioinc®

John Melican, Chief of External Affairs, Elliptic

Terry Pesce, President & CEO, Pesce Consulting


12:05 p.m. - 1:05 p.m.


Networking Lunch

Sponsored by Guidehouse







Lunch & Learn with WorkFusion

Sponsored by WorkFusion

 

Taking Sanctions program optimization to the next level – an industry roundtable discussing efficiency options in a world of ever-increasing OFAC and Sanctions alert volumes.

 

- Industry perspective and best practices around managing level one alert volumes with the help of a digital workforce.

 

- Navigating resource constraints concurrently with substantial increases to false positive volumes. Expert insights on directing valuable resources towards higher priority work to enhance risk-based programs.

 

- The great debate around accuracy – can the automation of L1 sanctions alerts truly reduce or even eliminate manual errors?

moderator

Ty Claggett, Head of Financial Crimes, WorkFusion

Speakers

Kyle T. Daddio, Managing Director, FTI Consulting | AML, Sanctions, Financial Crime Compliance

Rahul Dev Sharma, Vice President, Head of Product and Business Analysis, State Street

1:05 p.m. - 2:20 p.m.


Breakout Session 2A: Fraud Case Studies

Back by popular demand, this panel will facilitate active discussion of current fraud and AML trends and typologies through a series of practical scenarios and case studies. We’ll explore hot topics – like new account frauds using synthetic or stolen identities, ACH and ACAT frauds – and ask that you identify red flags, suggest risk mitigants, and make the call as to whether to file a SAR.

Moderator

Nicole De Bello, Anti-Money Laundering Counsel, Executive Director, Morgan Stanley 


Panelists 

Timothy Casey, Financial Crimes Compliance, Goldman Sachs 

Melissa Jameson, Robinhood

Kate Lesker, U.S. Securities and Exchange Commission

David Pitluck, Acting Chief of the Business and Securities Fraud Section at the United States Attorney’s Office for the Eastern District of New York

moderator

Margaret Edmunds, Director of AML and Corporate Compliance, AML Compliance Officer, Baird

panelists

Elizabeth Paige Baumann, Founder and Principal, Paige Baumann Advisory, LLC

Brooke Hickman, Director, Vulnerable Adults and Seniors Team (VAST), FINRA

Thor Nelson, Vice President, Global AML Officer, Ameriprise Financial Services, LLC

Joel Wolf, Senior AML Compliance Manager, RBC Wealth Management


Breakout Session 2B: Market Volatility

The market events of spring 2021 created many challenges for AML and financial crimes programs. A flood of new investors using social media to influence one another and markets and cash from COVID-19 government assistant programs created a plethora of opportunities for bad actors. Explore how firms navigated these challenges amidst extreme volatility and lessons learned.

Moderator

Dorothy Bennett, JPMorgan Chase

 

Panelists 

Allie Cheatham, BBH

Jonathan Thomas, Goldman

John Smith, MOFO

Alex Manfull, OFAC

moderator

Logan Anderson, Director, Financial Crimes Risk Management, Charles Schwab

PANELISTS

Sam Draddy, Senior Vice President National Cause and Financial Crimes Detection Programs, FINRA

Matthew Levine, Deputy General Counsel and Chief Compliance Officer, Virtu Financial

John Thorpe, U.S. Head, Financial Crimes Compliance, Vanguard

2:20 p.m. - 2:45 p.m.


Networking Break

Sponsored By Sayari

The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

2:45 p.m. - 4:00 p.m.


Perspectives on the AML Act and CTA Implementation

A landmark piece of legislation since the Patriot Act of 2001, the Anti-Money Laundering Act of 2020 promises to address many of the challenges the industry faced detecting and reporting illicit financial activity, but also create new ones. The panel will share how the industry is preparing, the issues they have identified, and their expectations for implementing regulations.

moderator

James Fiebelkorn, Managing Director – BSA/AML Program and Sanctions, Charles Schwab & Co and Charles Schwab Bank

panelists

Satish M. Kini, Partner, Debevoise & Plimpton LLP

James Martinelli, Director, Office of Regulatory Policy, Policy Division, FinCEN, U.S. Department of the Treasury

Gargi Sharma, Director, FINRA

Sarah Green, Principal, Global Head, Financial Crimes, Vanguard

4:00 p.m. - 5:15 p.m.


Industry Hot Topics

Feel like you just got over 2020? Well, 2021 is now in the rearview mirror and industry leaders will look back on another extraordinary year in AML compliance as well as anticipated rulemakings on the National AML/CFT Priorities and Corporate Transparency Act. Expect to gain expert insight into such topics as: the Anti-Money Laundering Act of 2020; the latest Guidance on Virtual Asset Servicing, the Pandora Papers; and the impact of SEC Rule 15c2-11.

moderator

Justin Mendelsohn, Head of AML and Sanctions, Fidelity Digital Asset Services, Fidelity Investments

panelists

Brent Cohen, Executive Director, Americas Financial Crime Counsel, UBS

Sarah Green, Principal, Global Head, Financial Crimes, Vanguard Group, Inc.

Frederick Reynolds, Chief Compliance Officer, Brex

Betty Santangelo, Schulte Roth & Zabel LLP

5:15 p.m. - 6:10 p.m.


Networking Reception

Sponsored by Fiserv


Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

7:00 a.m. - 12:15 p.m.


Registration

Special Purpose Acquisition Corporations (SPACs) have exploded in recent years, far overtaking traditional IPOs as a means of going public. The pace of so-called de-SPAC transactions has also accelerated, as has the pace of lawsuits asserting securities fraud in connection with either the SPAC formation, the de-SPAC transaction, or sometimes even both.

The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

7:00 a.m. - 7:55 a.m.


Networking Breakfast

Sponsored by Sayari

The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

7:55 a.m. - 8:00 a.m.


Welcome Remarks

SPEAKER

The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speaker

Bernard Canepa

Managing Director and Associate General Counsel

SIFMA

8:00 a.m. - 8:30 a.m.


Law Enforcement Case Study


Moderator

Name, Title, Firm

Speaker

Jarod Koopman

Acting Executive Director, Cyber and Forensic Services

Director, Cyber Crime

IRS-Criminal Investigation

8:30 a.m. - 9:45 a.m.


To the Digital Universe and Beyond!

The world of digital assets, including cryptocurrencies, continues to grow and captures the attention of the financial crime community. The explosion of interest among institutional, private client and retail investors and players in this rapidly evolving and exciting space creates opportunities but also risks. Starting off with the basics, explore the touchpoints with AML and learn how firms are framing the AML risks and controls amidst changing regulatory expectations.

moderator

Catherine LaFalce, Global Anti-Money Laundering Compliance Head, Banking, Markets and Securities Services, Citi

panelists

 Melissa Strait, Chief Compliance Officer, Coinbase

Leo Tsao, Partner, Litigation, Paul Hastings LLP

Jennifer K. Vakiener, Senior Vice President, Legal & Regulatory, Brookfield

Lisa Wheeler, Managing Director, Compliance, JPMorgan Chase & Co. 

9:45 a.m. - 10:10 a.m.


Networking Break


The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Speakers

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

• Kenneth E. Bentsen, Jr., President and CEO, SIFMA

 • Kenneth E. Bentsen, Jr., President and CEO, SIFMA

10:10 a.m. - 11:10 a.m.


Breakout Session 3A: Model Risk and Oversight

Identifying and assessing AML/CTF risks is essential to a well-run program and requires finely tuned models and proper oversight. This panel will define what is a model, what is effective, and how to address regulators’ differing expectations. The panel will also discuss regulatory developments, including the interagency statement on BSA/AML model risk management.

Moderator

Nicole De Bello, Anti-Money Laundering Counsel, Executive Director, Morgan Stanley 


Panelists 

Timothy Casey, Financial Crimes Compliance, Goldman Sachs 

Melissa Jameson, Robinhood

Kate Lesker, U.S. Securities and Exchange Commission

David Pitluck, Acting Chief of the Business and Securities Fraud Section at the United States Attorney’s Office for the Eastern District of New York

moderator

Janice Stark, Director, Business Systems Analysis - AML | Compliance, Ameriprise Financial, Inc.

panelists

Jayati Chaudhury, AML Transaction Monitoring, Global IB Lead, Barclays

Eric Kringel, Managing Director, Head of Transaction Monitoring, Americas, Deutsche Bank

Arkady Libo, Director Financial Crime Compliance, Société Générale


Breakout Session 3B: Terrorism and Geopolitical Risk

This panel will explore both the increasingly more complex threats, including domestic terrorism and geopolitical risk. Gain from industry experts an understanding of the landscape and how to control the risks, approach international clients and assess beneficial ownership, and keep your program current in an evolving world of risks and threats.

Moderator

Dorothy Bennett, JPMorgan Chase

 

Panelists 

Allie Cheatham, BBH

Jonathan Thomas, Goldman

John Smith, MOFO

Alex Manfull, OFAC

moderator

Robert Molloy, Chief BSA/AML Officer, Raymond James Financial, Inc.

PANELISTS

Jeffrey Harwin, Americas Head of Anti-Financial Crime Compliance, Deutsche Bank

Allon Lifshitz, Deputy Chief, Criminal Division, U.S. Attorney's Office, Eastern District of New York

Rockwell Reid, Global Head of AML Compliance Risk Management - Banking, Capital Markets and Advisory, Citi

Alan Williamson, Director, Business Oversight Compliance, Barclays Investment Bank Americas


Breakout 3C: Contextual Decision Intelligence: Moving Away from Threshold-Based Monitoring

Sponsored by Quantexa, Inc.


Traditional rules-based monitoring methods have proven ineffective in detecting complex financial crime, particularly in the Global Markets, generating high rates of false positive alerts and resulting in few SARs. Effective AML detection in Markets is achieved through uncovering hidden relationships and evaluating patterns of activity over time, not trade-by-trade. Learn how contextual monitoring connects intelligence across the enterprise with external data to create a holistic view of risk and manage a single coordinated response to threats.

Moderator

Name, Title, Firm


Panelists

Name, Title, Firm

Name, Title, Firm
Name, Title, Firm

moderator

Andrea Walser, US Global Markets AML Lead, Quantexa

panelists

Samantha J. Leventhal, Managing Director, Global Financial Crimes Global Wealth & Investment Management and Global Markets Risk Executive, Bank of America

Scott Nathan, Managing Director, Global Head of Anti-Money Laundering Transaction Monitoring, Citigroup, Inc.

Aaron Wolf, Deputy Americas Head of Anti-Financial Crime, Deutsche Bank

11:15 a.m. - 12:15 p.m.


Breakout Session 4A: Emerging Risk Management - Assessing New Product and Services

Identifying and assessing AML/CTF risks is essential to a well-run program and requires finely tuned models and proper oversight. This panel will define what is a model, what is effective, and how to address regulators’ differing expectations. The panel will also discuss regulatory developments, including the interagency statement on BSA/AML model risk management.

Moderator

Nicole De Bello, Anti-Money Laundering Counsel, Executive Director, Morgan Stanley 


Panelists 

Timothy Casey, Financial Crimes Compliance, Goldman Sachs 

Melissa Jameson, Robinhood

Kate Lesker, U.S. Securities and Exchange Commission

David Pitluck, Acting Chief of the Business and Securities Fraud Section at the United States Attorney’s Office for the Eastern District of New York

moderator

Jay Shechter, Director, AML & Financial Crimes, RBC Capital Markets LLC

panelists

Fassil Begashaw, Executive Director, Morgan Stanley

Bob Kadel, BSA Officer, Goldman Sachs Bank USA

Brock Miller, Vice President, US AML/FCM Brokerage Program Lead, Raymond James Financial

Paul M. Tyrrell, Partner, Sidley Austin LLP


Breakout Session 4B: Data Analytics

Data can speak volumes. Learn from our expert panelists how they use data and analytical tools to identify and assess risk across the firm in innovative ways and continually improve their AML and financial crime programs. 

Moderator

Dorothy Bennett, JPMorgan Chase

 

Panelists 

Allie Cheatham, BBH

Jonathan Thomas, Goldman

John Smith, MOFO

Alex Manfull, OFAC

moderator

Farzad Mashayekhi, Global Head, Financial Crime Compliance Engineering, Goldman Sachs

PANELISTS

Sean Friedly, Vice President, Head of AML & Financial Crimes Strategy, Transformation & Investigations, Raymond James

Christopher Janes , Vice President, AML & Sanctions Analytics, Fidelity Investments


Breakout Session 4C: Top Five Technologies in Fighting Financial Crime – AML and Beyond

Sponsored by Fiserv


Money laundering is not a victimless crime. The predicate crimes for money laundering undermine the integrity of financial institutions and the financial system itself. In this session we will discuss:

 
- The top five technologies that can help you fight money laundering and the predicate crimes for money laundering.

- The critical importance of data in financial crime risk management: financial and non-financial data, data veracity, integrity and lineage

- Why transaction monitoring is more important than ever in support of regulatory compliance, reputational risk and the moral imperative

Moderator

Name, Title, Firm


Panelists

Name, Title, Firm

Name, Title, Firm
Name, Title, Firm

Speaker

Andrew Davies, Vice President, Global Market Strategy, Financial Crime Risk Management, Fiserv



12:15 p.m. - 1:30 p.m.

12:15 p.m. - 1:30 p.m.


Networking Luncheon

Sponsored by Debevoise

Intro body copy text description goes here.



The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA



Luncheon Featured Speaker: Deputy Attorney General Lisa Monaco, US Department of Justice


The panel will focus on SPAC litigation trends and highlight the following topics:

• SEC commentary and enforcement activity
• The applicability (or not) of the PSLRA statutory safe-harbor to the de-SPAC
• Current state of case law
• Best practices to reduce litigation exposures


Moderator: Kenneth E. Bentsen, Jr., President and CEO, SIFMA

Moderator

Kenneth E. Bentsen, Jr.

President and CEO, SIFMA

Speaker

Lisa O. Monaco

Deputy Attorney General

United States Department of Justice

PROGRAM AT-A-GLANCE

Our program features keynote addresses by industry and regulatory leaders, lively panel discussions, provocative case studies and in-depth breakout sessions. Past speakers have included FinCEN, the FBI, FINRA and more. Please stay tuned for additional details and speaker announcements for this year's program.


All times in ET and subject to change.

Day 1: Monday, February 7

Monday, Oct 4

8:00 a.m. - 5:45 p.m.

Registration

Ellen Greene, Managing Director, Equity and Options Market Structure, SIFMA

8:15 a.m. - 9:00 a.m.

Networking Breakfast

Since the start of the pandemic and the recent meme stock activity in January 2021, there has been a heightened focus on listed options market structure. Join subject matter experts for a robust discussion of current topics impacting retail firms, institutions and exchanges and the importance of considering options market structure in the greater scheme of market structure reform.

 

MODERATOR

Joseph Sellitto, President and CEO of Global Execution Brokers, Susquehanna International Group, LLP

 

PANELISTS

Ivan Brown, Head of Options, NYSE 

Greg Ferrari, Vice President, Head of US Options, Nasdaq

Ovi Montemayor, Managing Director, Financial Markets Services, TD Ameritrade 

9:00 a.m. - 9:10 a.m.

Welcome Remarks

Since the start of the pandemic and the recent meme stock activity in January 2021, there has been a heightened focus on listed options market structure. Join subject matter experts for a robust discussion of current topics impacting retail firms, institutions and exchanges and the importance of considering options market structure in the greater scheme of market structure reform.

 

MODERATOR

Joseph Sellitto, President and CEO of Global Execution Brokers, Susquehanna International Group, LLP

 

PANELISTS

Ivan Brown, Head of Options, NYSE 

Greg Ferrari, Vice President, Head of US Options, Nasdaq

Ovi Montemayor, Managing Director, Financial Markets Services, TD Ameritrade 

9:10 a.m. - 9:40 a.m.

Keynote Address

Market maker liquidity remains paramount in listed options market structure due to the quote driven nature of the market. During this session, market makers will discuss the evolution and challenges of liquidity provision and how the growth in options exchanges, strike listings and volume has impacted this.

 

MODERATOR

Pat Hickey, Senior Vice President, Options Clearing Corporation

 

PANELISTS

Michael Golding, Head of Trading, Optiver LLC 

Adam Hoffman, Operations, IMC Financial Markets

Sanjiv Prasadm, Executive Director - Automated Market Making, Morgan Stanley

Erik Swanson, Chief Executive Officer, Simplex Investments 

9:40 a.m. - 10:55 a.m.

Regulatory/Enforcement Developments and 2022 Priorities

Hear directly from regulators and policymakers about 2021 developments in the AML and financial crime space and their regulatory and examination priorities for 2022. Discussion topics will include expectations for the year and changes your firm may wish to consider for your compliance program to address regulatory expectations, new trends and typologies, and lessons learned from enforcement.

10:55 a.m. – 11:20 am

Networking Break

11:20 a.m. - 12:35 p.m.

Concurrent Sessions

1A: SARs

 

This year, we have added what we think will be a particularly useful panel for your SAR filings. Through the lens of the Anti-Money Laundering Act of 2020’s requirement to provide “information with a high degree of usefulness to government authorities,” learn how to write more effective SARs by exploring law enforcement, regulator, and industry perspectives and sharing best practices.


1B: Sanctions


The panel will look at how U.S. sanctions against China, Venezuela and Russia are evolving under the Biden Administration and what to expect from Treasury’s Sanctions Review. It will also examine how regulators are addressing new threats like ransomware through sanctions. The panel will also examine recent compliance challenges.

12:40 p.m. - 1:50 p.m.

Networking Lunch

1:50 p.m. - 3:05 p.m.

Concurrent Sessions

2A: Fraud Case Studies


Moderator: 


Panelists: 

 

Back by popular demand, this panel will facilitate active discussion of current fraud and AML trends and typologies through a series of practical scenarios and case studies. We’ll explore hot topics – like new account frauds using synthetic or stolen identities, ACH and ACAT frauds – and ask that you identify red flags, suggest risk mitigants, and make the call as to whether to file a SAR.


2B: Market Volatility

The market events of spring 2021 created many challenges for AML and financial crimes programs. A flood of new investors using social media to influence one another and markets and cash from COVID-19 government assistant programs created a plethora of opportunities for bad actors. Explore how firms navigated these challenges amidst extreme volatility and lessons learned.

3:05 p.m. - 3:30 p.m.

Networking Break

3:30 p.m. - 4:45 p.m.

Perspectives on the AML Act and CTA Implementation

A landmark piece of legislation since the Patriot Act of 2001, the Anti-Money Laundering Act of 2020 promises to address many of the challenges the industry faced detecting and reporting illicit financial activity, but also create new ones. The panel will share how the industry is preparing, the issues they have identified, and their expectations for implementing regulations.

4:45 p.m. - 5:45 p.m.

Networking Reception

Day 2: Tuesday, February 8

Monday, Oct 4

7:30 a.m. - 3:30 p.m.

Registration

Ellen Greene, Managing Director, Equity and Options Market Structure, SIFMA

7:45 a.m. - 8:30 a.m.

Networking Breakfast

Since the start of the pandemic and the recent meme stock activity in January 2021, there has been a heightened focus on listed options market structure. Join subject matter experts for a robust discussion of current topics impacting retail firms, institutions and exchanges and the importance of considering options market structure in the greater scheme of market structure reform.

 

MODERATOR

Joseph Sellitto, President and CEO of Global Execution Brokers, Susquehanna International Group, LLP

 

PANELISTS

Ivan Brown, Head of Options, NYSE 

Greg Ferrari, Vice President, Head of US Options, Nasdaq

Ovi Montemayor, Managing Director, Financial Markets Services, TD Ameritrade 

8:30 a.m. - 9:00 a.m.

Keynote Address

Market maker liquidity remains paramount in listed options market structure due to the quote driven nature of the market. During this session, market makers will discuss the evolution and challenges of liquidity provision and how the growth in options exchanges, strike listings and volume has impacted this.

 

MODERATOR

Pat Hickey, Senior Vice President, Options Clearing Corporation

 

PANELISTS

Michael Golding, Head of Trading, Optiver LLC 

Adam Hoffman, Operations, IMC Financial Markets

Sanjiv Prasadm, Executive Director - Automated Market Making, Morgan Stanley

Erik Swanson, Chief Executive Officer, Simplex Investments 

9:05 a.m. - 10:05 a.m.

Concurrent Sessions

3A: Model Risk and Oversight

 

Identifying and assessing AML/CTF risks is essential to a well-run program and requires finely tuned models and proper oversight. This panel will define what is a model, what is effective, and how to address regulators’ differing expectations. The panel will also discuss regulatory developments, including the interagency statement on BSA/AML model risk management.


3B: Terrorism and Geopolitical Risk

This panel will explore both the increasingly more complex threats, including domestic terrorism and geopolitical risk. Gain from industry experts an understanding of the landscape and how to control the risks, approach international clients and assess beneficial ownership, and keep your program current in an evolving world of risks and threats.

10:05 a.m. - 10:30 a.m.

Networking Break

10:30 a.m. - 11:45 a.m.

To the Digital Universe and Beyond!

The world of digital assets, including cryptocurrencies, continues to grow and captures the attention of the financial crime community. The explosion of interest among institutional, private client and retail investors and players in this rapidly evolving and exciting space creates opportunities but also risks. Starting off with the basics, explore the touchpoints with AML and learn how firms are framing the AML risks and controls amidst changing regulatory expectations.

11:45 a.m. - 12:55 p.m.

Networking Lunch

12:55 p.m. - 1:55 p.m.

Concurrent Sessions

4A: Emerging Risk Management

 

The allure of new business opportunities is enticing, but what does it mean for your AML and financial crimes program? Through case studies, explore with industry experts their considerations and governance structures in place for evaluating new business for AML, Anti-Bribery/Anti-Corruption, and sanctions risks.


4B: Market Volatility

Data can speak volumes. Learn from our expert panelists how they use data and analytical tools to identify and assess risk across the firm in innovate ways and continually improve their AML and financial crime programs.

1:55 p.m. - 2:15 p.m.

Networking Break

2:15 p.m. - 3:30 p.m.

Industry Hot Topics

Feel like you just got over 2020? Well, 2021 is now in the rearview mirror and industry leaders will look back on another extraordinary year in AML compliance as well as anticipated rulemakings on the National AML/CFT Priorities and Corporate Transparency Act. Expect to gain expert insight into such topics as: the Anti-Money Laundering Act of 2020; the latest Guidance on Virtual Asset Servicing, the Pandora Papers; and the impact of SEC Rule 15c2-11.

3:30 p.m. - 4:00 p.m.

Law Enforcement Case Study

4:00 p.m.

Conference Adjourns

All times are in ET.

VIEW PROGRAM DETAILS
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Program

 

Our program features keynote addresses by industry and regulatory leaders, lively panel discussions, provocative case studies and in-depth breakout sessions. Past speakers have included FinCEN, the FBI, FINRA and more.

SIFMA is a member-driven organization; we are grateful to our 2022 Conference Planning Task Force:

- Nicole De Bello, Executive Director, Morgan Stanley

- Margaret Edmunds, Director of AML and Corporate Compliance, Baird

- Jim Fiebelkorn, Vice President – BSA/AML Program and Financial Intelligence Unit, Charles Schwab & Co.

- Sarah Green, Global Head of Financial Crimes, Vanguard Group Inc.

- Adrienne Kosta, Vice President, Anti-Money Laundering Officer, Fidelity Investments

- Catherine LaFalce, Managing Director, Global AML Compliance, Citigroup Global Markets

- Justin Mendelsohn, Deputy Head of AML and Sanctions, Brown Brothers Harriman

- Robert Molloy, Chief AML Officer, Raymond James Financial

- Jeffrey Weiss, Head of Financial Crimes, Robinhood Financial LLC

- Meg Zucker, Global Anti-Money Laundering Head, RBC Capital Markets LLC

2020 Program
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credits

This event will be eligible for continuing education credits, including CAMS, CLE and CPE credits.

CAMS Credits

This event will be eligible for 10 CAMS credit hours as awarded by ACAMS. Partial credit is not available – individuals must attend all live programming in order to receive CAMS credits. Learn more about ACAMS' External Event Accreditation.

CLE Credits

This event will be eligible for 8.5 nontransitional, professional practice NY State CLE credits.


It is the responsibility of the registrant to comply with all rules and regulations governing the jurisdictions in which the attendee is seeking credit. Fee reduction may be available for qualified registrants. View SIFMA's Hardship Policy.

CPE Credits

This program will be eligible for CPE credits; please stay tuned for details.

This program will be eligible for up to 11.4 CPE credits.


Field of Study: Specialized Knowledge
Program Level: Intermediate
Delivery Method: Group Live
Advance Preparation: None


CEU Institute is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.nasbaregistry.org.

The 2016 Mobile Ad Summit will take place in the Penthouse suite of The Georgia Center Hotel, which is conveniently located in the heart of Atlanta. Sign in at the registration desk and head up to the top floor.

VENUE

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SIFMA has reserved a block of rooms for Conference attendees. Reserve today: space is limited and rates are good only through Friday, January 21.


Visit the hotel website.

Our hotel block is sold out! Add your name to the waitlist.


SIFMA has reserved a block of rooms for Conference attendees at $359/night. Space is limited and rates are good through May 3, 2022.

Check Availability
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Sponsors

Our sponsors and sponsor showcase specialize in products and services for anti-money laundering and financial crime professionals.

For sponsorship inquiries, please contact Scott Kramer at 212.313.1119.

View Prospectus
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SIFMA's Strategic Partners

Sponsor Level

For sponsorship inquiries, please contact Diana Serri at 212.313.1258.

Sponsor Level

REGISTer

SIFMA Member Rate

$1,195 by April 22
$1,295 after April 22


Non-Member Rate

$1,495 by April 22

$1,595 after April 22

Regulator Rate

$795

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Plan ahead: pre-registration is required to participate.

Special Pricing Available!

Is your firm a SIFMA member? Please contact SIFMA Conferences to take advantage of these discounts:

 

- First time registrants from SIFMA member firms are eligible for special registration rates.
- After their first five registrants, SIFMA member firms are eligible to receive $100 off each additional, subsequent registration.

Registration Cancellation Policy 

Any cancellations received prior to April 25 will receive a refund minus a $200 processing fee. To receive a refund, a cancellation must be submitted by the stated cancellation deadline via an email to SIFMA Conferences.


No refunds will be granted for requests received after April 25, 2022. Refunds will not be given for no-shows. Conference registration substitutions are welcome.

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Useful Information

Clear your calendar - It's going down! Splash Blocks kicks off on April 20th, and you're invited to take part in the festivities. Splash HQ (122 W 26th St) is our meeting spot for a night of fun and excitement. Come one, come all, bring a guest, and hang loose.

Registration Questions

Please contact SIFMA Conferences. Please remember that pre-registration is required to participate. 


Media Registration

Select keynote sessions are open to media participation. To register and for our press policy, please contact Julianne Heberlein.

Health & Safety

While they may not be required, masks are welcome at our events. SIFMA reserves the right to institute procedures for COVID-19 at any time. Information will be provided to on-site attendees prior to or during the event.

Code of Conduct

Inappropriate behavior at SIFMA events is not tolerated. View our Code of Conduct and anonymous incident report form.

Accessibility

It is a priority to make our events inclusive and accessible for all. For questions or requests, please contact SIFMA Conferences.

COVID-19 Requirements

SIFMA closely follows guidelines from the CDC as well as state and local officials.  Ongoing participation in this event is subject to SIFMA's COVID-19 Safety Acknowledgment.

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Timely content and good flow to the discussions.

— SIFMA Ops Participant


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We advocate for effective and efficient capital markets.

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For in-person attendees,
Ops 2021 will be held at Fontainebleau Miami

See you soon.

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