Our Team

Anti-Money Laundering Consultants

ComplianceAid Subject Matter Experts (SME) team comprises of former FIU/FSC/FSRC Regulators, SEC/FINRA Regulators, Certified Public Accountant (CPA), Certified Management Accountant (CMA), Certified Fraud Examiners (CFE), Certified Regulatory Compliance Managers (CRCM), Certified Anti-Money Laundering & Financial Crimes Professionals (CAMLFC), Certified Fraud Risk Management Professionals (CFRMP), Certified Countering the Financing of Terrorism Professionals (CCFTP), Certified Cybersecurity Professional (CCSP), Certified Anti-Money Laundering Specialist (CAMS) Expert Witness, Attorneys.


Michelle N. Martin

Ms. Michelle Martin is Chairman & CEO, ComplianceAid, AMLFC Institute & theList.pro. She possesses twenty-six years of experience in banking, insurance, regulatory compliance, public and private accounting. She is a Certified Anti-Money Laundering & Financial Crimes Prevention Professional (CAMLFC) and Certified Anti-Money Laundering Specialists (CAMS). Founder of the Anti-Money Laundering and Financial Crimes Institute (AMLFC Institute) in addition to founding co-chair of the ACAMS South Florida Chapter. She is also an Accredited Claims Adjuster. During the last few years; Ms. Martin was invited speaker at 53 Conferences in 47 countries where 15,000+ Financial Industry executives were educated on Bank Secrecy Act (BSA), Anti-Money Laundering (AML), Office of Foreign Assets Control (OFAC), Counter Financing of Terrorism (CFT), Financial Crimes Prevention (FCP), Foreign Account Tax Compliance Act (FATCA)/Common Reporting Standard (CRS), De- Risking & Cybersecurity topics. She dispensed Annual BSA/AML/OFAC/CTF Training to over 10,000 staff, management and board of 16 regional and local businesses. She educated, at 43 joint seminars with Government Entities and Professional Organization, 10,000 professionals including bankers, attorneys, accountants and compliance officers active in over 30 industries. Ms. Martin also trained over 1,000 Senior Public Officials, Members of Parliament and Ministers from the Caribbean. She developed and implemented 85 BSA/AML/OFAC/CTF Policies, Procedures and Risk Assessment Program for Financial Institutions active in multi-jurisdiction that led to uniform risk mitigating procedures design to detect, deter, prevent for compliance with laws and regulations of 21 countries. She also contributed with 64 main stream media (TV, Radio, Newspaper, Magazine) to produce reports on Anti-Money Laundering issues directed toward the general public or business community. Recently, she instituted the customer risk rating system of a top U.S. Bank with customer base of 7.5 million and coordinated an enhanced due diligence (EDD) remediation project of all high-risk customers.
Her professional experience in the United States began in public accounting where KPMG, LLP recruited her as an Auditor. Two years after she joined Ernst & Young LLP. In 2004, she transitioned to the private sector as a Franchise Auditor within the Internal Audit department at Burger King Corporation. By mid-2005, Assurant, Inc. presented Ms. Martin with the opportunity to become an Internal Audit Manager. In 2007, she worked as an Assistant Vice President & AML/BSA Project Manager at Ocean Bank headquarter, Florida largest commercial bank. In 2008, Banco Do Brasil hired her as a Compliance/OFAC Officer where she was responsible for implementing a Compliance Program for their New York, Orlando and Miami Offices in addition to coordinating other regulatory efforts for the Bank. In 2011, Ms. Martin launched ComplianceAid a consulting business specialized in Anti-Money Laundering & Counter Terrorism Financing. A few months later, she also launched theList.pro an affordable database of international sanctions and Politically Exposed Persons from around the world.
Born in Antigua, Ms. Martin started her financial career in St. John’s with Canadian Imperial Bank of Commerce (CIBC). In 1996, Ms. Martin moved to Miami to pursue a higher education. She obtained a Bachelor in Accounting and a Master in Accounting Information Systems at Florida International University (2002).

  • Automotive
  • Credit Union
  • Banking
  • Finance
  • Insurance
  • Governmental Affairs
  • Jewelry
  • Money Service Business
  • Non-Profits, Trade & Professional Associations
  • Law
  • Public Accounting
  • Private Accounting
  • Real Estates
  • Registrar & Company services
  • Securities
  • Trust


Lorenzo Delzoppo

Lorenzo Delzoppo is a director with ComplianceAid and an attorney admitted to practice law in the State of New York with over fifteen years of substantial banking, regulatory compliance, risk management, and legal experience. He began his career in the regulatory field as AML/BSA Compliance Officer at Girosol, a money services business operating in 35 U.S. states and 42 countries. After that role, he supervised compliance with all laws and regulations applicable to international wire transfer activities as Chief Compliance Officer of MoneyExpress Financial, a U.S. financial institution with subsidiaries in Portugal, Spain and the UK. In 2006, he joined Community Bank of Florida as BSA Officer and was soon promoted Chief Compliance Officer. In 2012, he assumed the additional role of Chief Risk Officer. He was responsible for leading and coordinating company-wide risk management efforts by directly managing the Enterprise Risk Management platform and supervising the Compliance Management System. In addition to permanent internal control functions, his accountabilities included strategy development, regulators relations, external auditors and counsels’ coordination, as well as direct oversight of the Financial Crime area. In 2016, he moved to the consulting business where he has been advising law firms, financial institutions and private businesses on a broad spectrum of compliance and regulatory matters. Lorenzo has been a speaker and moderator at international conferences and lectured at university seminars. He developed compliance manuals, training materials, implemented compliance monitoring systems and interfaced state and federal regulators in numerous examinations. He has a LL.M. from the University of Miami, a J.D. from the University of Urbino and speaks five languages. He is very active in the compliance community as a director of the South Florida Chapter of ACAMS and a member of the Advisory Board of the Anti-Money Laundering and Financial Crime (AMLFC) Institute jointly owned by St. Thomas University and ComplianceAid.