Gurran is an Anti-Money Laundering Specialist (CAMS) and Certified Project Manager (PMP) experienced in managing complex projects with diverse stakeholders.
In his current role as a Compliance Officer at AIG, he advises U.S. General Insurance partners on Economic Sanctions and Anti-Money Laundering policy requirements, identifies gaps/deficiencies, proposes program enhancements and provides guidance where needed. He manages the Compliance Risk Assessment process and evaluates/reviews risk rating data with corporate and business partners. He is also responsible for leading other cross function enterprise wide projects to ensure compliance with Pay to Play regulations and AIG's producer compensation settlement agreement with the New York Attorney General.
Formerly at Natixis Wholesale Banking, within the Core Compliance Group, he led a project to ensure all policies and procedures were updated annually and progress was communicated across the international organization. He also compiled risk assessment data to identify potential issues, managed FINRA licensing processes, monitored employee personal account trading and led weekly new hire compliance trainings.
Gurran has an MBA from Baruch College, Zicklin School of Business and a BA in Psychology & Sociology from University of Massachusetts.