The VP – Head of FCO Governance, MI & Reporting, Quality Control, Training & Education is accountable for establishing and leading a centralized control, governance, and intelligence capability across FCO. The role acts as the ‘control tower’ for FCO, ensuring that operations are:
Data-led,
Consistently governed,
Quality Assured, and
Continuously improving.
Governance frameworks and control oversight
Management Information (MI), reporting, and performance analytics
Quality Control and outcome testing
Training, capability development, and knowledge management
The role is critical to ensuring that FCO operates in line with the Bank’s risk appetite, regulatory expectations, and strategic transformation agenda, while driving efficiency, standardization, and scalability across all locations.
Key Responsibilities
Governance & Control Oversight
Design and implement a robust FCO governance framework, ensuring clear accountability across all processes.
Establish and oversee control standards, procedures, and operating models across audit, regulatory, and internal audit findings.
Act as the central point for governance forums, including preparation of materials and articulation of key risks and themes.
Provide credible challenges and oversight to FCO AML Transaction Monitoring, Sanctions Monitoring, TBML Monitoring and Fraud Monitoring teams to ensure adherence to policies and control effectiveness.
Management Information (MI) & Reporting
Own and deliver a comprehensive MI and reporting framework across FCO.
Define and implement KPIs and KRIs covering productivity, quality, risk, and customer outcomes.
Ensure reporting is accurate, timely, and insight-driven, supporting decision-making at senior management and ExCo level.
Drive standardization of reporting across geographies and teams.
Develop forward-looking dashboards and early warning indicators to proactively identify risks and performance issues.
Quality Control & Outcome Assurance
Establish and lead a global QC and outcome testing framework, ensuring consistency and defensibility of investigations.
Define quality standards, review methodologies, and sampling approaches.
Identify systemic issues and control weaknesses ensuring root cause analysis and sustainable remediation
Provide Independent Assurance Over
Alert investigations
STR Quality
Decision-making consistency
Embed a continuous feedback loop between QC, operations, and training.
Training, Capability & Education
Design and implement a comprehensive training and capability framework across FCO
Develop a training needs analysis, training plan and ensure all staff are trained on:
AML/CTF typologies
Sanctions risksFraud Typologies
Investigation standards
Regulatory expectations
Develop role-based learning paths and certification frameworks
Drive continuous professional development and capability uplift across onshore and offshore teams.
Ensure effective knowledge management and dissemination of emerging risks and best practices.
Operational Excellence & Continuous Improvement
Drive standardization, simplification, and optimization of processes across FCO
Identify and lead efficiency and transformation initiatives, including automation and workflow enhancements.
Ensure alignment between governance, analytics, QC, and FCO Teams to deliver a cohesive operating model.
Establish a culture of performance discipline, accountability, and continuous improvement.
Stakeholder & Regulatory Engagement
Act as a key interface with:
Group Compliance
Internal Audit
1LOD Stakeholders Support regulatory reviews and audits, ensuring clear articulation of FCO control environment and performance
Provide data-led insights and transparency to senior stakeholders.
Accountable for defining and maintaining the FCO governance, MI, QC, and training frameworks.
Authority to: Define KPIs, KRIs, and reporting standards across FCO
Approve QC methodologies, sampling approaches, and quality thresholds
Escalate material risks, control weaknesses, and systemic issues to senior governance forums
Recommend and drive control enhancements and process changes
Operates within the Bank’s risk appetite, regulatory requirements, and governance frameworks, with strong alignment to 2LOD oversight.
Act as a senior control function within 1LOD, with independence from day-to-day operations to ensure effective oversight and challenge.
Requirements / Qualifications
Minimum Qualification
Bachelor’s degree or higher in management, banking, finance, preferably with certification in compliance, transactions monitoring/sanctions screening, KYC/AML/CTF, financial crime or risk management
ACAMS and/or ICA Certification
Technical Competencies / Experience
12 – 15+ years’ experience in Financial Crime, AML, Sanctions, Trade Based Money Laundering, Fraud Risk Management, Compliance, Audit, or Risk within
Global Financial Institutions.
Proven experience in:
Governance and Control Frameworks
MI, reporting, and data analytics
Quality Assurance, testing, audit
Large-scale operations or transformation programme
Strong understanding of:
AML/CTF/TBML/Sanctions/Fraud Regimes and typologies
Investigative processes
Demonstrated ability to:
Lead large-multi-location teams
Influence senior stakeholders and operate at executive level
Translate data into strategic insights and decisions
Preferred / Beneficial
Experience in technology-enabled transformation, including analytics and automation, is highly desirable.
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