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PLI Anti-Money Laundering Conference to Address Key Issues in BSA/AML

PLI AML 2022
By Peter D. Hardy on May 9, 2022
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Enforcement Trends, Crypto, the AML Act — and More

We are very pleased to be moderating, once again, the Practising Law Institute’s 2022 Anti-Money Laundering Conference on May 17, 2022, starting at 9 a.m. This year’s conference will be both live and virtual — and it will be as informative, interesting and timely as always. 

Again, we are lucky to have a fantastic line-up of experienced and knowledgeable panelists:

  • Jessica Lyn Bartlett, Global Head of Financial Crime Legal, Barclays
  • Beth Bisbee, U.S. Head of Investigations, Chainalysis, Inc. 
  • Jamal El-Hindi, Counsel, Clifford Chance US LLP
  • Gregory Lisa, Chief Legal Officer of Element Finance, Inc. 
  • Molly Moeser, Acting Chief of Bank Integrity Unit, Money Laundering and Asset Recovery Section (MLARS), U.S. Department of Justice
  • Jim Richards, principal and founder, RegTech Consulting LLC
  • Priya Roy, Senior Counsel in the AML, Sanctions, Anti-Corruption & Government & Regulatory Enforcement group, PNC Bank.
  • Liat Shetret, Director of Regulatory Affairs & Compliance Policy, Solidus Labs

The conference will tackle many critical issues in BSA/AML compliance and money laundering enforcement.  The three panels will be:

Recent Trends in Money Laundering and Enforcement

The Department of Justice continues to bring major money laundering indictments and civil forfeiture actions.  The panel will discuss:

  • Emerging enforcement trends and the current preferred vehicles of choice for those attempting to launder funds.
  • Alleged foreign financial schemes and the role of the Administration’s Strategy on Countering Corruption.
  • The implications for financial institutions and their AML programs, including risks and the red flags for potentially problematic customers.

Digital Assets and AML: Evolving Regulations and Enforcement

Regulators are scrambling to keep up with the fast-paced technologies of Blockchain, digital assets, and cryptocurrencies.  The panel will discuss:

  • Regulatory and enforcement developments — sanctions, ransomware, and more.
  • Application of the “Travel Rule” to crypto transactions:  does it work, and if so, how?
  • Transaction tracing and investigations of illicit crypto schemes:  illicit funds, hacking, and more.  How can crypto transactions be traced and “bad guys” be identified – from the perspective of scheme victims, government investigators, and financial institutions?
  • The (near) future of crypto:  what is the likely regulatory landscape going forward?

The AML Act: Beneficial Ownership, Regulatory Priorities, Effective AML Programs, and More

Congress passed the expansive AML Act on January 1, 2021.  The Act has been heralded as a groundbreaking piece of BSA/AML legislation – but its potential promise inevitably will be tempered by its real-world implementation by regulators and affected stakeholders.  The panel will discuss:

  • The Corporate Transparency Act and beneficial ownership reporting by businesses upon incorporation.  Will the CTA reduce the abuse of shell corporations to launder money, and what is the impact of the CTA on existing customer due diligence requirements for financial institutions? 
  • FinCEN has announced its national AML priorities.  How can they be acted upon in a meaningful way?
  • The BSA now requires by statute “effective” AML programs to be “risk based.”  What does that mean, in practice?
  • The AML Act seeks to maximize effective BSA reporting, such as SARs and CTRs, and government/industry information sharing.  How can the AML Act and ensuing regulations best realize these broad goals, which have been discussed for years?
  • The new BSA whistleblower provision, FinCEN “no action” letters, and more.

If you would like to remain updated on these issues, please click here to subscribe to Money Laundering Watch. To learn more about Ballard Spahr’s Anti-Money Laundering Team, please click here.

Peter D. Hardy

hardyp@ballardspahr.com | 215.864.8838 | view full bio

Peter is a national thought leader on money laundering, tax fraud, and other financial crime. He is the author of Criminal Tax, Money Laundering, and Bank Secrecy Act Litigation, a comprehensive legal treatise published by Bloomberg…

hardyp@ballardspahr.com | 215.864.8838 | view full bio

Peter is a national thought leader on money laundering, tax fraud, and other financial crime. He is the author of Criminal Tax, Money Laundering, and Bank Secrecy Act Litigation, a comprehensive legal treatise published by Bloomberg BNA.  Peter co-chairs the Practising Law Institute’s Anti-Money Laundering program, and serves on the Steering Committee for the Cambridge Forum on Sanctions & AML Compliance

He advises corporations and individuals from many industries against allegations of misconduct ranging from money laundering, tax fraud, mortgage fraud and lending law violations, securities fraud, and public corruption.  He also advises on compliance with the Bank Secrecy Act and Anti-Money Laundering requirements.  Peter handles complex litigation involving allegations of fraud or other misconduct.

Peter spent more than a decade as a federal prosecutor before entering private practice, serving as an Assistant U.S. Attorney in Philadelphia working on financial crime cases. He was a trial attorney for the Criminal Section of the Department of Justice’s Tax Division in Washington, D.C.

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  • Posted in:
    Corporate Compliance, Corporate Finance
  • Blog:
    Money Laundering Watch
  • Organization:
    Ballard Spahr LLP
  • Article: View Original Source

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