USA - ASIA- MIDDLE EAST - NEW YORK - MIAMI - LA - HONG KONG - DUBAI - INDONESIA - MALAYSIA - EUROPEAN UNION - SINGAPORE - BEIJING
Graduate School of Law - LL.M. Program
SYLLABUS
- Anti-Money Laundering & Compliance 2 -
LLM110
Professor
Robert Munro, PHD has traditionally taught this course
1.
COURSE DESCRIPTION
Anti-Money Laundering Legislation: This course for bankers,
trust officers, and compliance officers continues the in-depth
comparative study of the U.S. and foreign national legal
responses and international responses to the problems
of money laundering, economic crime, cyber-sabotage and
terrorism. In particular, this course focuses on The Caribbean
and Latin America. This course now provides in-depth analysis
of the international regulation of money movements with
particular regard to Latin America and The Caribbean. The
student continues to explore the role and duties of the
compliance officer including due diligence investigations
of politically exposed persons, potential tax evaders and
their counsel, and the required filing of information with
regulatory authorities, including "no tipping off"
rules.
We will
also explore treaties designed to curb the international
flow of "flying money". In addition we will examine
the new typologies for money launders as well as some of
the old tried and true washing methods of transforming illicit
money into respectable money. A portion of our time will
be devoted to an examination of what is considered to be
the main event in this arena: the laws designed to take
the profit from the criminal. This will invoke, in part,
examining the weapon we know as asset forfeiture and a new
weapon which has emerged within the boardrooms of organized
crime: cybercrime.
This
course is led by Dr. Robert J. Munro of the Center for International
Financial Crimes Studies as well as a law librarian of the
Frederic Levin College of Law. He is the co-author of the
five volume treatise, Money Laundering, Asset Forfeiture
and International Financial Crimes and the three volume
treatise, Cyber crime and Security. Besides the final examination,
this course uses common law case examination, complex case
studies, individual assignments and a research course paper.
2.
SYLLABUS
The syllabus of Anti-Money Laundering & Compliance 2
is as follows:
1.
A Review of Anti-Money Laundering 1.2. Financial Action
Task Force (FATF) Reports3. Criteria of the Evaluation of
the AML Regimes of Nations4. Criteria of the Evaluation
of AML Regimes of Offshore Financial Centers 5. Case Study:
Comparative Analysis of the Criteria and Progress of the
AML Regimes of Latin America and North America 6. Comparison
of the USA AML Regime and UK/Commonwealth AML Regimes 7.
Introduction to Compliance 8. Advanced Topics in Compliance
9. Comparative Analysis of the AML and Compliance Regimes
of Banks, Brokers, Dealers, Exchange Activities and Mutual
Funds, Insurance Companies, Casinos and Gaming Establishments
10. AML and Compliance Forms
The
evaluation of student performance is based on the final
exam, a research paper or series of papers and class participation.
2.
SYLLABUS
The
syllabus of Anti-Money Laundering & Compliance 2 is
as follows:
1.
A Review of Anti-Money Laundering 1.
2.
Financial Action Task Force (FATF) Reports
3.
Criteria of the Evaluation of the AML Regimes of Nations
4.
Criteria of the Evaluation of AML Regimes of Offshore Financial
Centers
5.
Case Study: Comparative Analysis of the Criteria and Progress
of the AML Regimes of Latin America and North America
6.
Comparison of the USA AML Regime and UK/Commonwealth AML
Regimes
7.
Introduction to Compliance
8.
Advanced Topics in Compliance
9.
Comparative Analysis of the AML and Compliance Regimes of
Banks, Brokers, Dealers, Exchange Activities and Mutual
Funds, Insurance Companies, Casinos and Gaming Establishments
10.
AML and Compliance Forms
The
evaluation of student performance is based on the final
exam, a research paper or series of papers and class participation.
LLM
Online Course Requirements for AAFM Financial Board Certification:
- CWM
Chartered Wealth Manager - Take LLM 131, and LLM200
- CTEP
Chartered Trust & Estate Planner - Take: LLM111 and
LLM 131
- CPM
Chartered Portfolio Manager - Take LLM 222
- CRA
Chartered Risk Manager - Take LLM106 and 110
- CAM
- Chartered Asset Manager - Take LLM 104 and LLM 105
- CMA
- Chartered Market Analyst - Take LLM 333 (Must of Masters
Degree, JD or CPA)
- RFS
- Registered Financial Specialist - LLM 101 and LLM 102
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