Associate General Counsel, Compliance, Americas
Company: Up Closets of Charleston
Location: New York
Posted on: May 3, 2025
Job Description:
New York, United StatesABOUT SOTHEBY'SEstablished in 1744,
Sotheby's is the world's premier destination for art and luxury.
Sotheby's promotes access to and ownership of exceptional art and
luxury objects through auctions and buy-now channels including
private sales, e-commerce and retail. Our trusted global
marketplace is supported by an industry-leading technology platform
and a network of specialists spanning 40 countries and 70
categories which include Contemporary Art, Modern and Impressionist
Art, Old Masters, Chinese Works of Art, Jewelry, Watches, Wine and
Spirits, and Design, as well as collectible cars and real estate.
Sotheby's believes in the transformative power of art and culture
and is committed to making our industries more inclusive,
sustainable and collaborative.THE ROLEThis role will be based in
New York reporting to the Chief Compliance Officer and Deputy
General Counsel, Global Head of Litigation and will assist with
developing, implementing and managing all aspects of compliance in
the Americas, including providing advice to business groups and
senior stakeholders on compliance related matters affecting
Sotheby's business in these regions.To be successful in this role,
the individual must be a qualified lawyer with extensive experience
in all areas of compliance, including financial crime. They should
have exemplary communication skills and experience in designing and
implementing cross-border compliance programmes. They will also
have the ability to build strong relationships with our business
clients and senior stakeholders, and to give considered and
practical advice on complex matters. The right person for this role
will be a self-starter who has sufficient expertise and experience
in this area to be able to operate
autonomously.RESPONSIBILITIES
- Responsible for financial crime compliance in the Americas,
including in relation to anti-money laundering and counter
terrorist and proliferation financing (AML/CTPF), sanctions and
anti-bribery and corruption (ABC) and corporate offences, and will
work with colleagues in the Compliance Department in relation to
financial crime compliance in other regions, including EMEA &
Asia;
- Assisting with developing, maintaining and keeping under
review, Sotheby's business wide risk assessments, policies and
procedures in relation to financial crime, including AML/CTPF,
sanctions and ABC, and in relation to corporate offences;
- Responsible for the continuous development, improvement and
implementation of Sotheby's systems controls, policies, procedures
and tools to mitigate financial crime and other risk, and
partnering with Sotheby's Service Operations, Product & Technology
and Information Security teams on the same;
- Act as point of escalation to advise on and assist with the
onboarding of new clients and review of existing clients and their
transactions, including regarding collection and review of client
due diligence documents and screening results; resolution of
screening results through automated tools (primarily, LSEG
Worldcheck); review of existing client due diligence documents and
ongoing screening; review and investigation of high-risk clients
and transactions; and overseeing enhanced due diligence and
recommendations to local senior management on approval of client
onboarding or transactions;
- Oversight of regulatory affairs in the Americas, including for
example, FCA related matters, acceptance of crypto-currencies and
sale of non-fungible tokens (NFTs), and advising on and managing
related policies, procedures and escalations; Supporting with any
reporting or filing requirements that fall within the remit of the
Compliance department, and on any regulator audit or risk
assessment or other relevant government or regulator
engagement;
- Maintaining in-depth knowledge of relevant financial crime and
corporate offence regulations, laws and regimes, and updating
relevant staff on any relevant changes and best practices;
- Assisting with developing, maintaining, and delivering an
education and training programme to inform employees on financial
crime and other legal, regulatory and ethical matters that exist or
which are likely to become relevant and which fall within the remit
of the Compliance Department, and maintenance of training records
for the same;
- Assisting with maintaining Sotheby's Code of Business Conduct
and non-financial crime compliance policies and procedures
(including, for example, anti-trust and conflicts of interest) to
ensure that the company and its employees have sufficient
information and guidance to allow them to comply with applicable
laws and regulations and company-wide policies and ethical
standards;
- Providing accurate and timely advice and guidance to Sotheby's
staff on issues arising from compliance policy areas and subject
matters within the responsibility of the Compliance
Department;
- Assisting with designing and implementing procedures to monitor
and audit the efficacy of the Compliance program, detect issues,
violations and areas for improvement relating to policies or legal,
regulatory or ethical requirements;
- Supporting senior stakeholders on larger projects by providing
assistance and advice in connection with compliance related
aspects;
- Taking an active role in knowledge sharing, thought leadership
and practice development to ensure Sotheby's remains abreast of
developments in or updates to laws, regulations and practices in
relation to financial crime and corporate offences, and assisting
with the same for other matters falling within the remit of the
Compliance Department;
- Ensuring appropriate record retention and management.
- Implement Sotheby's Code of Business Conduct, policies,
procedures, manuals and internal codes that have been adopted by
the Company, to ensure that Sotheby's and its employees are at all
times in compliance with applicable laws, regulations and
company-wide policy and ethical standards, which relate to any of
Sotheby's existing Compliance policies.
- Maintain a comprehensive understanding of the legal and
regulatory environment, requirements and developments relating to
and impacting Sotheby's business activities worldwide. Monitor and
maintain accurate and up to date knowledge of, and updating
policies as needed, concerning subject matter areas under the
responsibility of the Global Compliance department, which
include:
- The transparent and fair conduct of auctions and private
sales;
- Due diligence relating to property and clients;
- Anti-money laundering and government sanctions;
- Anti-bribery and corruption (such as the FCPA, UK Bribery
Act);
- Antitrust;
- Conflicts of interest;
- Cultural property/heritage matters;
- Data protection and information privacy;
- Information security;
- Develop, maintain and deliver an education and training program
to inform employees on legal, regulatory and ethical matters that
exist or may evolve and come under the responsibility of the
Compliance Department, and to update relevant staff on any relevant
changes.
- Provide timely and accurate advice and guidance to Sotheby's
staff on issues arising from compliance policy areas and subject
matter within the responsibility of the Compliance Department.
- Design and implement procedures, including internal audits, in
order to detect at the earliest time possible any violations of
Sotheby's policies or legal, regulatory or ethical requirements,
including the conduct of internal investigations as required to
address any questionable incidents or practices.
- Provide guidance and oversight of compliance to monitor the
efficacy of the Compliance program, detect issues, violations and
areas for improvement relating to policies or legal, regulatory or
ethical requirements. This includes, where appropriate, directing
and performing Compliance audits.
- Monitor legislative and regulatory developments and participate
in industry lobbying efforts impacting the market.IDEAL EXPERIENCE
& COMPETENCIES
- Bachelor's Degree and JD (must have State Bar admission in New
York).
- 8+ years of professional experience at a large or boutique law
firm; 3+ years of in-house experience is a plus.
- The ideal candidate will have previous experience of
implementing cross-border compliance programmes and experience of
financial crime compliance, including;
- Proficiency and experience in using relevant screening tools
(for example, LSEG Woldcheck, Dow Jones, Lexis Nexis);
- Experience in transaction monitoring, in particular of block
chain transactions, and fraud detection;
- Excellent analytical and written skills are vital, able to
produce clear, high-quality writing; advanced communication and
presenting skills are also important;
- Ability to assess and balance commercial and regulatory risks,
to think strategically and to clearly and concisely provide advice,
often in time pressured circumstances;
- Ability to provide clear guidance and workable, commercial
solutions on complex and sensitive issues;
- Excellent relationship management and people skills, experience
of managing a team, team player mentality with the ability to work
alongside colleagues, and with clients, their representatives and
other stakeholders;
- Maintaining excellent stakeholder management and communication
skills with the ability to bring all stakeholders on board.
- Professional and calm manner; able to multi-task and prioritise
and capable of working independently across Europe, the Middle East
and Asia, and accommodating of other time zones when
necessary;
- Additional language skills helpful;
- Art law / art industry experience is not required.The proposed
base salary for this position ranges from $175,000-$200,000. In
addition to base salary successful candidates are eligible to
receive a discretionary bonus, as well as a competitive benefits
package. Salary offers are based on a wide range of factors
including relevant skills, training, experience, education, and,
where applicable, licensure or certifications obtained. Market and
organizational factors are also considered.
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Keywords: Up Closets of Charleston, New Rochelle , Associate General Counsel, Compliance, Americas, Legal , New York, New York
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