Part III: Business & Regulation · Banking, Chips & Financial Operations
Compliance Officer
Compliance & ReportingVERIFIED
The BSA Compliance Officer is the individual (or individuals) designated by the casino to be responsible for day-to-day compliance with the Bank Secrecy Act and the casino’s AML program. The Compliance Officer oversees the development and implementation of AML policies, reviews and files SARs, ensures timely CTR filings, coordinates training programs, manages relationships with regulators, and responds to examination findings. The Compliance Officer must have sufficient authority, independence, and resources to fulfill these responsibilities effectively. In larger casino operations, the Compliance Officer may lead a dedicated compliance department; in smaller operations, the role may be combined with other functions.
In practice
FinCEN requires the Compliance Officer to be a named individual with clear accountability. The officer should report directly to senior management and have board-level visibility for significant compliance matters.
Sources
- IRS — ITG FAQ 8: What are the reporting requirements for casinos? (AML program / compliance officer)Regulator document
- 31 CFR § 1021.210 — Anti-money laundering programs for casinos (eCFR)Statute
Last verified 2026-08-14
Related terms
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One entry from the Casino Industry Glossary, 1,090 terms written for surveillance, compliance and operations professionals rather than for players. Definitions describe industry usage; where a term carries a regulatory meaning, verify against the instrument that governs your jurisdiction.