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Financial Services Law Insights and Observations

OCC releases enforcement actions

Bank Regulatory Federal Issues Financial Crimes Anti-Money Laundering OCC Enforcement Bank Secrecy Act SARs

On May 19, the OCC released a list of recent enforcement actions taken against national banks, federal savings associations, and individuals currently and formerly affiliated with such entities. Included is a cease and desist order against an Alaska-based bank for allegedly engaging in Bank Secrecy Act/anti-money laundering (BSA/AML) program violations. The bank allegedly “failed to adopt and implement a compliance program that adequately covers the required BSA/AML program elements, including, in particular, internal controls for customer due diligence and procedures for monitoring suspicious activity, BSA officer and staff, and training.” The order requires the bank to, among other things, establish a compliance committee, submit a BSA/AML action plan, and develop a written suspicious activity monitoring and reporting program.

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