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KYC Client Onboarding

Streamline Know Your Customer processes with digital registration, document verification, risk assessment, and approval workflows.

finance-banking client-onboarding
KYCclient onboardingcompliancerisk assessmentdocument verificationbankingAML
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Architecture

Interactive diagram showing apps, databases, and data flow. Hover over components to see connections. Click databases to view table schemas.

Preview

What's Included

Modules

Client Registration

Multi-step registration form collecting personal or corporate details, beneficial ownership structures, source of funds, and purpose of the business relationship.

Document Verification

Compliance review interface for checking uploaded identity documents, proof of address, and corporate filings against a configurable verification checklist.

Risk Assessment

Scoring engine that evaluates client risk profiles based on jurisdiction, industry, PEP status, transaction volume, and other configurable factors.

Approval Workflow

Tiered approval process that routes client applications to the appropriate compliance officer based on risk score, with escalation paths for high-risk cases.

Databases

Clients

Prospective and active client records with registration data, contact information, entity type, risk scores, and current onboarding status.

Documents

Uploaded verification documents with file metadata, document type, verification status, reviewer notes, and expiration dates for time-limited credentials.

Risk Assessments

Scored risk evaluations per client with individual factor ratings, aggregate risk tier, assessment dates, and reviewer approvals.

Approval Records

Audit trail of approval decisions with reviewer identity, decision date, comments, conditions applied, and escalation history.

Setup Guide

1

Configure Registration Forms

Customize the client registration form with the data fields required by your institution's KYC policies and local regulatory requirements.

2

Define Document Requirements

Specify the types of identity documents, proof of address, and corporate filings required for each client category (individual, corporate, trust).

3

Set Risk Scoring Rules

Configure the risk assessment factors, weighting, and tier thresholds that determine whether a client is low, medium, or high risk.

4

Map Approval Workflows

Define which compliance roles review applications at each risk tier, set approval authority limits, and configure escalation rules.

5

Assign Compliance Staff

Add compliance officers to the system with their review authority levels and notification preferences for incoming applications.

6

Test with a Sample Client

Submit a test application through the full workflow, verify document checks and risk scoring, and confirm that the approval routing works as configured.

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