| Agenda Day Two| A For C-Level Strategists | B AML Officers and Departments | C For Fraud Professionals and Departments
 | 8:00-8:45 Registration and Morning Coffee | 8:45-9:35 | Identifying and Disrupting Funding Streams to Thwart Terrorist Financing and Organized Criminal Operations Dennis Lormel, IPSA INTERNATIONAL | Identifying and Integrating Effective Compliance Approaches for Managing Open and Closed-End Funds William Tesler, VP and AML Compliance Officer, BNY CONVERGEX GROUP LLC Jason Vazquez, VP, Head of AML Compliance, and AML Compliance Officer, DWS SCUDDER FUNDS, DEUTSCHE ASSET MANAGEMENT | Identifying Behavioral or Transactional Patterns that Portend Fraudulent Activity Gary Murray, DTCC | 9:40-10:30 | Developing Compliance Strategies to Satisfy AML, BSA and FCPA Regulations Ellen Zimiles, CEO, DAYLIGHT FORENSIC | Procedures for Regulatory Compliance with Dealing with Regulations for Money Service Businesses and Prepaid Cards David Landsman, Executive Director, NATIONAL MONEY TRANSMITTERS ASSOCIATION Juan Llanos, UNIDOS FINANCIAL SERVICES
Ross Crumlish, VP, AML/BSA Compliance, CHEVY CHASE BANK
| Creating an In-House Financial Intelligence Unit to Serve AML and Fraud Departments Kevin Favreau, JD, CAMS, Vice President - Global AML Compliance, Financial Intelligence Unit, AML Compliance Department, WESTERN UNION NORTH AMERICA | 10:30-11:10 Networking & Refreshment Break |
| 11:10-12:00 | SPOTLIGHT: The AMLAC & Fraud Forum True New York Story: Craig Gile To all who know him, Craig Gile had it all. Honor student and captain of the basketball team in high school. Prestigious degrees from Vanderbilt and Wharton. A decorated veteran of the first GulfWar. A successful and lucrative career as a commodities trader at Citigroup. And, most importantly, an idyllic home life on the Connecticut shore with his wife and three young boys, often spent coaching Little League and hosting backyard barbecues.
That all changed in August of 2007, when Mr. Gile began serving his one year and one day prison sentence in a federal prison in Jesup, GA, after pleading guilty in US District Court in Manhattan to one count of conspiracy to falsify bank records and commit wire fraud, when he was the head of American sales and trading at the commodities desk at Citigroup. Prosecutors accused Gile of overstating the value and understating the risk of their trading positions in the energy-based derivatives in order increase the group’s profits, effectively increasing his year-end bonus. After having served his time at a prison that was decidedly not Club Fed – his home was a cinderblock building with triple-bunk beds, six toilets and seven showers for 78 men –- Gile will join us to discuss how he became involved in the fraudulent activity, explain how the situation escalated into him pleading guilty, and delve into how serving time has helped him take responsibility for his actions and guiding his outlook on life. Immediately following his remarks, Gile will take questions from the audience. | | 12:00-1:15 | Luncheon for delegates and speakers | | 1:15-1:45 | Peer Roundtables: Discussing the Most Common Suspicious Activities and How Other AML and Fraud Officers Overcome Challenges In this session, you’ll have the opportunity to discuss the various types of suspicious activity you’ve seen over the past year with your colleagues, and then discuss how you’ve handled the identification and issue escalation process. Small discussion groups will be led by industry AML officers from banks, broker/dealers, mutual funds, insurance companies and MSBs to allow participants to hear how their peers are handling compliance challenges. You are free to choose from any group. GROUP 1 - Banks
- Regional Banks
- Credit Unions
Facilitator: Stephanie Lowy, CITI | GROUP 2 - Mutual Fund Companies
- Hedge Funds
- Broker/Dealers
Facilitator: Linda Busby, RAYMOND JAMES | GROUP 3 - Money Service Businesses
- Cash-Intensive Businesses
- Charitable Foundations
Facilitators: Kevin Favreau, WESTERN UNION NORTH AMERICA |
| | 1:45-2:00 | Networking and Refreshment Break |
| A For C-Level Strategists | B AML Officers and Departments | C For Fraud Professionals and Departments
 | 2:00-2:50 | Incorporating Effective Compliance Strategies for Community and Regional Financial Institutions Emily Borowski, AVP Risk & Compliance, NOTRE DAME FEDERAL CREDIT UNION Stuart Davis, AML/Fraud Executive, USAA | Techniques for Integrating Risk-Based Rules within Transaction Monitoring Systems Moderator: Darren J. Donovan, National Forensic Banking & Finance Industry Leader, KPMG FORENSIC Jack Sonnenschein, Managing Director and Global Head of AML Audit, BANK OF NEW YORK MELLON
Heli Leesment, Director of Anti-Money Laundering Compliance, RBC FINANCIAL GROUP
| Lessons Learned from Industry Case Studies Steve Helmstetter, IRS CI Rachel Rojas, Special Agent, FBI Ross Crumlish, CHEVY CHASE BANK (invited) |
| 2:55-3:45 | PROVEN TECHNIQUES FOR DEMONSTRATING YOUR AML COMPLIANCE PROGRAM’S EFFECTIVENESS Valerie Towery, Director, Special Projects, Global Anti-Money Laundering Compliance & Counter Terrorist Financing, WESTERN UNION Katherine Sikora Nelson, BANK OF NEW YORK MELLON | Turn in your evaluation form and receive a ticket good for one free drink at the View Bar! |
For full details on AMLAC Sessions, please download our conference brochure. | |