Monika Jurgenfeldt, CEO, Head of compliance and AML

Monika Jurgenfeldt

CEO, Head of compliance and AML

Admiral Markets

Location
United Arab Emirates
Education
Bachelor's degree, Business management
Experience
8 years, 8 Months

Share My Profile

Block User


Work Experience

Total years of experience :8 years, 8 Months

CEO, Head of compliance and AML at Admiral Markets
  • Cyprus
  • September 2013 to December 2016

Executive member of the management team of a systematically important forex brokerage firm, offering a full scope of services to Institutional and Retail Investors. Shared responsibility of the Investment Firm’s strategy. Responsible for the general day to day management of the Investment Firm. Maintained and reviewed policies, procedures and practices to ensure compliance with laws and regulations. Managed all areas of compliance including internal operations policies and compliance with regulations including MiFID, FATCA and the Laws and Directives relevant with the prevention of Money Laundering and Terrorist Financing Activities. Submission of all regulatory reports to Cyprus Securities and Exchange Commission. Performed all other managerial and compliance functions as set out in the Investment Firm’s internal policies

Head of Compliance and AML at FxPulp
  • Cyprus
  • July 2012 to August 2013

Development of necessary policies and procedures for the general operation of the Company’s compliance and AML program. Preparation and submission of all regulatory reports. Advised and updated Company Departments and Senior Management on regulatory matters. Implementation and monitoring of the Company’s risk management framework. Carrying out steps to safeguard the company against potential compliance risks. Responsible for the functioning of systems of internal risk control and monitoring. Production of periodic risk reports for the Company’s Executive Directors and BoD.

Backoffice manager at FxPro Financial services
  • Cyprus
  • May 2008 to June 2012

Responsible for creating, implementing and periodically reviewing the Company’s CDD and account opening policies and procedures. Ensure that the said policies and procedures are compliant with relevant regulations at all times. Acting as the key resource for front line staff providing guidance and training in regards to construcing, evaluating customers economic profile and gathering relevant documentation. Ensure that all record keeping requirements relvent to CDD are met and undertake periodic reviews.

Education

Bachelor's degree, Business management
  • at Open University Business School
  • October 2017

Specialties & Skills

Operation
Capital Markets
Compliance

Languages

English
Native Speaker
Estonian
Native Speaker

Memberships

CISI
  • Member
  • January 2012
ACAMS
  • Member
  • September 2015
CFA
  • Candidate
  • November 2016

Training and Certifications

Certificate in Finanancial Services (Certificate)
Date Attended:
December 2013
Certificate in Financial Services Legal Framework – Advanced (Certificate)
Date Attended:
March 2015
Certificate in DIFC Laws and Regulations (Certificate)
Date Attended:
November 2016
Certified Anti-Money Laundering Specialist (Certificate)
Date Attended:
October 2016
Certificate in Investments (Certificate)
Date Attended:
December 2012
Certificate of Professional Competence of Supervisors and Employees Banks and Investment firms (Certificate)
Date Attended:
June 2011