{"id":23569,"date":"2026-09-28T07:48:06","date_gmt":"2026-09-28T07:48:06","guid":{"rendered":"https:\/\/www.examlabs.com\/certification\/?p=23569"},"modified":"2026-09-28T07:48:06","modified_gmt":"2026-09-28T07:48:06","slug":"acams-cgss-practice-test-questions-and-exam-dumps-part3-q41-60","status":"publish","type":"post","link":"https:\/\/www.examlabs.com\/certification\/acams-cgss-practice-test-questions-and-exam-dumps-part3-q41-60\/","title":{"rendered":"ACAMS CGSS Practice Test Questions and Exam Dumps Part3 Q41-60"},"content":{"rendered":"<p><b>View Full <\/b><a href=\"https:\/\/www.examlabs.com\/cgss-exam-dumps\"><b>ACAMS CGSS Exam Dumps<\/b><\/a><b> and Practice Test Dumps.<\/b><\/p>\n<p><b><br \/>\n<\/b><b>Q41. What is a key objective of sanctions governance?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Define oversight and accountability<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Increase product sales<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Reduce customer records<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Expand advertising<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. Define oversight and accountability<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Sanctions governance establishes clear oversight, authority, and accountability for managing sanctions risk across an organization. It helps define who approves policies, who monitors compliance, who reviews significant issues, and who is responsible for escalation and remediation. Strong governance also supports communication between senior management, compliance, legal, operations, and business teams. Without clear accountability, important sanctions decisions may be delayed or handled inconsistently. Effective governance should therefore include documented responsibilities, appropriate reporting lines, and management support. Its purpose is to strengthen control and decision making rather than increase sales, reduce customer records, or expand marketing activity.<\/span><\/p>\n<p><b>Q42. What should a sanctions risk appetite describe?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Staff vacation limits<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Marketing priorities<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Product design goals<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Acceptable level of sanctions exposure<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 4. Acceptable level of sanctions exposure<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">A sanctions risk appetite describes the level and type of sanctions risk an organization is prepared to accept while conducting business. It should align with legal obligations, business strategy, customer profile, geographic exposure, products, and services. A clear risk appetite helps management decide which relationships or activities require additional controls, escalation, or rejection. It also supports consistent decision making across business units. The risk appetite should not permit activity that violates applicable sanctions requirements. Staff vacations, marketing priorities, and product design goals are unrelated to the purpose of sanctions risk appetite and do not define acceptable compliance exposure.<\/span><\/p>\n<p><b>Q43. What may indicate an attempt to disguise a sanctioned destination?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Direct shipping route<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Repeated document inconsistencies<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Verified end user<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Clear invoice details<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 2. Repeated document inconsistencies<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Repeated inconsistencies in shipping documents, invoices, customer statements, or destination information may indicate an attempt to conceal the true destination of goods or services. Examples can include conflicting addresses, altered consignee information, unusual routing instructions, or discrepancies between commercial documents. Such inconsistencies do not automatically prove sanctions evasion, but they should prompt further investigation when they cannot be reasonably explained. Compliance staff should compare documents, verify counterparties, and understand the purpose and route of the transaction. Direct routing, verified end users, and clear invoice information generally increase transparency and reduce uncertainty about the transaction.<\/span><\/p>\n<p><b>Q44. Why is end user information important in trade sanctions compliance?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> It identifies final use and recipient<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> It sets employee salaries<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> It determines office rent<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> It improves advertising<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. It identifies final use and recipient<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">End user information helps an organization determine who will ultimately receive goods or services and how they are intended to be used. This is important because sanctions or export restrictions may apply to a particular recipient, destination, sector, or end use even when the immediate customer appears acceptable. Reliable end user information can help identify diversion risk and suspicious intermediaries. Organizations should investigate unclear or inconsistent end user details, especially in higher risk transactions. Employee salaries, office rent, and advertising have no direct relevance to determining the final recipient or use of goods in sanctions compliance.<\/span><\/p>\n<p><b>Q45. What should happen when sanctions regulations materially change?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Ignore them until annual review<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Delete old customer files<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Assess and update relevant controls<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Stop all business automatically<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 3. Assess and update relevant controls<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">When sanctions regulations materially change, an organization should assess the impact on customers, transactions, products, jurisdictions, systems, policies, and procedures. Relevant controls may need to be updated promptly to reflect new restrictions, designations, licenses, or exemptions. Staff may also require additional training or guidance. Waiting until the next annual review could leave the organization exposed to new requirements, while stopping all business may be unnecessary unless specific restrictions require it. A structured change management process helps ensure that legal and operational changes are understood, documented, and implemented consistently across the organization.<\/span><\/p>\n<p><b>Q46. What is a major benefit of sanctions scenario testing?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Reduce customer service<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Evaluate response to risk events<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Replace compliance staff<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Increase advertising revenue<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 2. Evaluate response to risk events<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Sanctions scenario testing helps an organization evaluate how effectively its controls and personnel would respond to realistic sanctions related events. Scenarios may involve newly designated customers, blocked payments, ownership changes, trade restrictions, or screening failures. Testing can reveal weaknesses in escalation, decision making, communication, system configuration, and documentation. Results should be reviewed and used to improve procedures where necessary. Scenario testing does not replace compliance personnel or daily controls. Its value comes from identifying gaps before they lead to real compliance failures and from improving organizational readiness for significant sanctions events.<\/span><\/p>\n<p><b>Q47. What is a key reason to screen beneficial owners?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Measure customer profitability<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Determine marketing interest<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Set account fees<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Detect indirect sanctions exposure<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 4. Detect indirect sanctions exposure<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Screening beneficial owners helps identify sanctions exposure that may not be visible from the name of the customer entity alone. A company may not itself appear on a sanctions list, but ownership or control by a sanctioned person can create restrictions under applicable rules. Organizations should therefore obtain and verify ownership information appropriate to the risk and screen relevant owners and controllers. This process helps detect indirect involvement and supports more accurate risk assessment. Customer profitability, marketing interest, and account pricing do not determine whether ownership creates sanctions exposure and are not the primary purpose of beneficial owner screening.<\/span><\/p>\n<p><b>Q48. What should an organization consider when selecting a screening system?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Matching capability and risk profile<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Office furniture style<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Advertising budget<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Employee dress code<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. Matching capability and risk profile<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">A sanctions screening system should be appropriate for the organization&#8217;s size, customer base, products, geographic exposure, transaction volume, and sanctions risk profile. Important factors include matching capability, data quality requirements, list coverage, handling of aliases, transliteration, alert management, and system testing. A system that is unsuitable for the organization&#8217;s risk may create excessive false positives or fail to detect meaningful matches. Selection should therefore be based on compliance needs rather than convenience alone. Office furniture, advertising budgets, and employee dress codes have no relevance to the effectiveness of sanctions screening technology.<\/span><\/p>\n<p><b>Q49. What may indicate a high risk customer relationship?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Transparent ownership<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Stable business activity<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Frequent dealings with sanctioned regions<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Complete identification records<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 3. Frequent dealings with sanctioned regions<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Frequent dealings with sanctioned or heavily restricted regions may increase the sanctions risk of a customer relationship. Such activity may involve additional restrictions, licensing requirements, prohibited counterparties, or greater risk of evasion. The organization should understand the customer&#8217;s business purpose, counterparties, transaction routes, and relevant jurisdictions before determining the appropriate level of control. Geographic exposure alone does not necessarily make activity prohibited, but it can justify enhanced due diligence and monitoring. Transparent ownership, stable activity, and complete identification records generally improve the organization&#8217;s ability to understand and manage the customer&#8217;s risk.<\/span><\/p>\n<p><b>Q50. What is the purpose of sanctions management information?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Support oversight and decision making<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Replace customer screening<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Eliminate risk assessments<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Increase sales commissions<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. Support oversight and decision making<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Sanctions management information provides senior management and control functions with data needed to understand the performance and risk profile of the sanctions compliance program. Useful information may include alert volumes, true matches, unresolved cases, control failures, testing results, training completion, geographic exposure, and remediation progress. Accurate reporting helps management identify trends, allocate resources, and make informed decisions. Management information does not replace customer screening, risk assessments, or other controls. Instead, it gives decision makers visibility into whether sanctions risks are being managed effectively and whether additional action is required.<\/span><\/p>\n<p><b>Q51. What should be done with recurring false positive alerts?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Ignore all future matches<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Review for controlled optimization<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Delete customer records<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Stop screening completely<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 2. Review for controlled optimization<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Recurring false positive alerts may be reviewed to determine whether the screening process can be optimized without weakening detection capability. This can involve carefully designed suppression rules, improved customer data, adjusted matching logic, or other controlled measures. Any changes should be tested, documented, approved, and periodically reviewed. Simply ignoring future alerts could cause a genuine match to be missed, while stopping screening would create serious compliance risk. Effective optimization seeks to reduce unnecessary workload while preserving the ability to identify sanctioned parties. Governance and testing are essential whenever screening rules are changed.<\/span><\/p>\n<p><b>Q52. What is a useful control for high risk sanctions customers?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Less frequent monitoring<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Automatic transaction approval<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Removal from screening<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Enhanced ongoing review<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 4. Enhanced ongoing review<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">High risk sanctions customers generally require enhanced ongoing review because their activities may create greater exposure to restricted jurisdictions, parties, sectors, or transactions. Enhanced monitoring can include more frequent customer reviews, deeper transaction analysis, updated ownership checks, and closer scrutiny of changes in business activity. The level of review should be proportionate to the identified risk. Reducing monitoring or removing the customer from screening would weaken controls, while automatic approval would bypass important compliance checks. Enhanced review helps the organization identify changes in risk and respond promptly to potential sanctions concerns.<\/span><\/p>\n<p><b>Q53. What is a key purpose of sanctions audit trails?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Track and evidence decisions<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Increase product demand<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Reduce staff training<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Improve advertising design<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. Track and evidence decisions<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">A sanctions audit trail records the steps taken during screening, investigation, escalation, approval, blocking, rejection, and other compliance activities. It helps demonstrate what information was reviewed, who made a decision, when the decision occurred, and why a particular action was taken. A strong audit trail supports internal reviews, regulatory inquiries, testing, and future investigations. It also promotes consistent decision making and accountability. Incomplete records can make it difficult to demonstrate that appropriate procedures were followed. Audit trails are therefore an important compliance control and are unrelated to product demand, advertising, or reduction of employee training.<\/span><\/p>\n<p><b>Q54. What may justify rejecting a transaction?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Low profit margin<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Customer complaint<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Prohibited sanctions involvement<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Slow internal processing<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 3. Prohibited sanctions involvement<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">A transaction may need to be rejected when applicable sanctions rules prohibit the organization from processing or facilitating the activity and the legal framework requires rejection rather than blocking or another response. The exact action depends on the relevant sanctions regime and circumstances. Compliance personnel should confirm the match, understand applicable legal requirements, and follow internal escalation procedures before taking action. Commercial factors such as low profit margins or customer complaints are separate business considerations and do not determine sanctions treatment. Decisions should be properly documented to show the legal and compliance basis for the response.<\/span><\/p>\n<p><b>Q55. What is an important feature of sanctions policies?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Clear escalation requirements<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Sales commission rules<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Office decoration standards<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Marketing slogans<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. Clear escalation requirements<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Sanctions policies should clearly explain when employees must escalate a potential issue and who is responsible for reviewing it. Escalation requirements are especially important for uncertain matches, complex ownership structures, unusual transactions, possible evasion, licensing questions, and significant control failures. Clear procedures reduce inconsistent decision making and help ensure that higher risk matters reach appropriately qualified personnel. Policies should also define documentation and approval requirements. Sales commissions, office decoration, and marketing slogans are not core elements of a sanctions policy. Effective escalation supports timely and defensible compliance decisions across the organization.<\/span><\/p>\n<p><b>Q56. What can be a sign of sanctions risk in shipping activity?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Verified port information<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Repeated changes in vessel identity<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Clear cargo description<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Direct consignee details<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 2. Repeated changes in vessel identity<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Repeated or unexplained changes in vessel identity information can be a warning sign of sanctions evasion, particularly when combined with other unusual shipping behavior. Risk indicators may include changes in vessel names, flags, ownership, registration, or identification information that appear intended to obscure the vessel&#8217;s history or destination. Compliance teams should assess such changes in context and verify available shipping records. Not every change is suspicious because legitimate commercial reasons may exist. Clear cargo descriptions, verified port information, and transparent consignee details generally support better understanding of the transaction rather than indicating concealment.<\/span><\/p>\n<p><b>Q57. What should be considered when evaluating a sanctions license?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Scope and conditions<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Customer advertising budget<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Employee attendance<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Office location only<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. Scope and conditions<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">When relying on a sanctions license, an organization should carefully review its scope, conditions, duration, authorized parties, permitted activities, and any reporting or recordkeeping obligations. Activity outside the terms of the license may remain prohibited. The organization should also confirm that the license applies to the specific transaction and parties involved. Supporting evidence should be retained to demonstrate compliance with the authorization. A license should not be interpreted more broadly than its wording allows. Advertising budgets, employee attendance, and office location alone do not determine whether a transaction is covered by a sanctions license.<\/span><\/p>\n<p><b>Q58. What is the purpose of sanctions list reconciliation?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Verify required lists are loaded correctly<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Replace transaction monitoring<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Increase marketing activity<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Reduce customer identification<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 1. Verify required lists are loaded correctly<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">Sanctions list reconciliation helps confirm that the screening system contains the correct and current lists required by the organization&#8217;s legal obligations and risk framework. Reconciliation can identify missing records, incomplete updates, formatting issues, or system failures that could prevent effective screening. This control is particularly important after list updates or technology changes. Organizations should document reconciliation results and investigate any discrepancies promptly. List reconciliation does not replace transaction monitoring or customer due diligence. Its purpose is to provide assurance that screening systems are using the intended sanctions data accurately and completely.<\/span><\/p>\n<p><b>Q59. What may require escalation during customer onboarding?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> Standard domestic address<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Simple ownership structure<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Complete identification documents<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> Possible match to a sanctioned person<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 4. Possible match to a sanctioned person<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">A possible sanctions match identified during onboarding should be escalated for further review before the relationship is approved. Analysts should compare available identifiers, ownership information, and other relevant data to determine whether the alert is a false positive or a genuine match. Higher risk cases may require review by compliance, legal, or senior management depending on internal procedures. Automatically approving a customer before resolving a potential sanctions match could create significant exposure. Standard addresses, simple ownership, and complete documentation generally reduce uncertainty and do not by themselves require the same level of sanctions escalation.<\/span><\/p>\n<p><b>Q60. Why should sanctions controls be risk based?<\/b><\/p>\n<ol>\n<li><b><\/b><span style=\"font-weight: 400;\"> To eliminate every alert<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> To focus resources on greater exposure<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> To avoid recordkeeping<\/span><\/li>\n<li><b><\/b><span style=\"font-weight: 400;\"> To reduce all customer reviews<\/span><\/li>\n<\/ol>\n<p><b>Correct Answer: 2. To focus resources on greater exposure<\/b><\/p>\n<p><b>Explanation<\/b><\/p>\n<p><span style=\"font-weight: 400;\">A risk based sanctions framework directs greater attention and resources toward customers, transactions, products, jurisdictions, and activities that create higher sanctions exposure. This allows the organization to apply enhanced controls where they are most needed while maintaining proportionate measures for lower risk areas. Risk based controls may include different levels of due diligence, screening, monitoring, approval, and testing. The approach does not mean eliminating alerts, recordkeeping, or customer reviews. Instead, it helps the organization manage sanctions risk efficiently and consistently while maintaining compliance with applicable legal obligations and internal standards.<\/span><\/p>\n","protected":false},"excerpt":{"rendered":"<p>View Full ACAMS CGSS Exam Dumps and Practice Test Dumps. Q41. What is a key objective of sanctions governance? Define oversight and accountability Increase product sales Reduce customer records Expand advertising Correct Answer: 1. Define oversight and accountability Explanation Sanctions governance establishes clear oversight, authority, and accountability for managing sanctions risk across an organization. It [&hellip;]<\/p>\n","protected":false},"author":1,"featured_media":0,"comment_status":"closed","ping_status":"closed","sticky":false,"template":"","format":"standard","meta":[],"categories":[1648,1647],"tags":[],"_links":{"self":[{"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/posts\/23569"}],"collection":[{"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/posts"}],"about":[{"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/types\/post"}],"author":[{"embeddable":true,"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/users\/1"}],"replies":[{"embeddable":true,"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/comments?post=23569"}],"version-history":[{"count":1,"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/posts\/23569\/revisions"}],"predecessor-version":[{"id":23570,"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/posts\/23569\/revisions\/23570"}],"wp:attachment":[{"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/media?parent=23569"}],"wp:term":[{"taxonomy":"category","embeddable":true,"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/categories?post=23569"},{"taxonomy":"post_tag","embeddable":true,"href":"https:\/\/www.examlabs.com\/certification\/wp-json\/wp\/v2\/tags?post=23569"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}