Course curriculum

  • 1

    Test Your Knowledge

    • Test Your Knowledge

  • 2

    Handouts

    • Handouts - Anti-Money Laundering Series - Lesson 3

  • 3

    MODULE OVERVIEW

    • MODULE OVERVIEW

  • 4

    Covered and Suspicious Transactions

    • Seven Signs of Transaction as Suspicious of Money Laundering

    • Corruption Related

  • 5

    SECTION REVIEW: Covered and Suspicious Transactions

    • SECTION REVIEW: Covered and Suspicious Transactions

  • 6

    Suspicious Transactions Alerts and Red Flags

    • Cross Border Investment Fraud

    • Drug Related Transactions

    • Cash Deposits/Ponzi Scheme/ Pyramiding, Usage of Transit Accounts and Unverified Banking Accounts/ Transactions

  • 7

    SECTION REVIEW: Suspicious Transactions Alerts and Red Flags

    • SECTION REVIEW: Suspicious Transactions Alerts and Red Flags

  • 8

    Circumstances Considered in Terrorism Financing

    • 15 Circumstances Considered in Terrorism Financing

    • Suspicious Transaction Reports

  • 9

    SECTION REVIEW: Circumstances Considered in Terrorism Financing

    • SECTION REVIEW: Circumstances Considered in Terrorism Financing

  • 10

    KYC and Customer Due Diligence

    • KYC / Customer Due Diligence (CDD)

    • CDD Purpose, Measures and Procedures

    • First Measure: Customer Identification Process (CIP)

  • 11

    SECTION REVIEW: KYC and Customer Due Diligence

    • SECTION REVIEW: KYC and Customer Due Diligence

  • 12

    EXERCISES

    • List of Scenarios

    • Scenario 1

    • Scenario 1 - Questions

    • Scenario 2

    • Scenario 2 - Questions

    • Scenario 3

    • Scenario 3 - Questions

  • 13

    CASE STUDY

    • CASE STUDY

    • CASE STUDY - Questions

  • 14

    QUIZ: Anti-Money Laundering Series – Lesson 3

    • QUIZ: Anti-Money Laundering Series – Lesson 3

Instructor

CPA, CIA, FRIAcc, EnP, REB, REA, MICB

Jeff-Mike Smith Sule

Jeff-Mike Smith Sule is a Fellow of the Royal Institute of Accountants based in Singapore, a Certified Internal Auditor under The Institute of Internal Auditors, a Certified Bookkeeper under The Institute of Certified Bookkeepers based in United Kingdom, and Technical Education and Skills Development Authority (TESDA), and an Accredited Accounting Teacher.  He has four active professional licenses under PRC, to wit, Certified Public Accountant, Real Estate Appraiser, Real Estate Broker, and Environmental Planner. Jeff graduated Magna Cum Laude from Polytechnic University of the Philippines – Manila with a bachelor degree in accountancy. He placed Top 7 in the 2010 CPA Licensure Examination and Top 2  in the 2014 Real Estate Appraiser Licensure Examination. Jeff is currently an internal audit manager at American Data Exchange Company. He also held various management positions in ÆON Credit Service (Philippines), Inc., a Japanese non-bank financing company, namely Internal Control Manager, Portfolio Manager, Control Manager and Internal Audit Manager. Jeff also previously did IT and financial audit at Ernst & Young - Sycip Gorres Velayo and Company (SGV). He was also a faculty member of various educational institutions which include Ateneo de Manila University, De La Salle University, Mapua Institute of Technology, Far Eastern University, Philippine Christian University, Polytechnic University of the Philippines, Manila Integrated Review Schools Corporation, Shield Professionals Review and Training Center, and ExcelCIA Knowledge Institute Inc. He was also an accreditor of the Association of Local Colleges and Universities – Commission on Accreditation (ALCU-COA).Jeff shares his knowledge and expertise as a PICPA lecturer and a national speaker on topics that involve external and internal audit, IT audit, real estate and environmental planning, accounting and taxation, bookkeeping, business process management and organizational transformation.

This training is designed to help participants understand how money laundering is perpetrated and how governments and anti-money laundering (AML) laws operate to counteract this crime. It also highlights the roles and responsibilities of the AMLC and covered persons in facing the threat of money laundering. Professional accountants, compliance officers, and other individuals in covered institutions such as banks, stock brokerages, casinos, and pawnshops will greatly benefit from this course.

In this lesson, participants should gain a firm grasp on the laws governing covered transactions, suspicious transactions, and terrorism financing, as well as apply and ensure compliance with KYC and Customer Due Diligence rules.