CM

Cams® Justin Morgan

Head Of Financial Crimes Compliance at Apex Fintech Solutions

Justin Morgan, CAMS®, has a diverse work experience spanning over several companies. Justin currently works at Apex Fintech Solutions as the Head of Financial Crimes Compliance, a role they started in April 2022. Prior to this, they held various positions at Apex, including AML Compliance Officer and Anti-Money Laundering Manager, where they were responsible for managing the firm's AML compliance program and ensuring adherence to regulatory rules. Before joining Apex, Justin worked at TD Ameritrade as a Senior Margin Risk Analyst and Senior Resource Specialist, where they assessed market and regulatory risks and provided support to clients and registered representatives. Justin also gained experience as a Financial Advisor at Edward Jones, where they provided investment advice and financial planning services. Justin began their career at Wells Fargo Bank as a Personal Banker, managing customer portfolios and ensuring compliance with bank regulations. Overall, Justin Morgan's work experience demonstrates their expertise in financial crimes compliance, AML risk assessment, and client service within the financial industry.

Justin Morgan, CAMS®, obtained their Bachelor's degree from Georgia Southern University, where they studied from 1999 to 2004. In terms of additional certifications, they obtained the Certified Anti-Money Laundering Specialist (CAMS) certification from ACAMS in 2015. Justin has also completed various management and leadership courses on LinkedIn, including "Balancing Multiple Roles as a Leader," "Leading Your Team Through Change," "Strategic Focus for Managers," "Coaching for Results," "Decision-Making Strategies," "Body Language for Leaders," "Managing Experienced Managers," "Managing New Managers," "Managing Up, Down, and Across the Organization," "Negotiating with Agility," and "Transitioning from Manager to Leader" in 2019. Furthermore, Justin Morgan has obtained various industry certifications from the Financial Industry Regulatory Authority (FINRA), including Series 3 in 2017, Series 24 in 2011, Series 66 in 2008, and Series 7 in 2008.

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