You are as unique as your background, experience and point of view. Here, you’ll be encouraged, empowered and challenged to be your best self. You'll work with dynamic colleagues - experts in their fields - who are eager to share their knowledge with you. Your leaders will inspire and help you reach your potential and soar to new heights. Every day, you'll have new and exciting opportunities to make life brighter for our Clients - who are at the heart of everything we do. Discover how you can make a difference in the lives of individuals, families and communities around the world.
Job Description:
Job Responsibilities:
Develop and implement market conduct & fraud program
Provide coaching and leadership to the Market Conduct & Fraud Team and monitoring their performance on day-to-day activities, including fraud case investigations and handling, and related advisory activities
Lead technology and process related initiatives to optimize Market Conduct & Fraud Compliance processes for improved risk management and efficiency
Assess and manage risks related to market conduct & fraud, and implement strategies to minimize potential issues
Provide periodic management reporting on the Market Conduct & Fraud Program status, including its effectiveness, efficiencies and sustainability, and escalate significant matters in a timely manner
Provide guidance on Market Conduct & Fraud Compliance related matters to the business, compliance partners and other functional partners
Provide advice and support to the business for establishing and maintaining relevant procedures to deter, monitor and report fraud activities and ensure appropriate compliance oversight on fraud-related day-to-day business processes
Monitor activities to ensure compliance with market conduct rules and fraud
Fraud detection, prevention, investigation and reporting
Work closely with the Compliance Monitoring and Testing Team to ensure an appropriate Market Conduct & Fraud monitoring and testing program is in place to evaluate the effectiveness, efficiencies and sustainability of the market conduct and fraud program
Manage regulatory and internal audit reviews of the market conduct & fraud program
Skills:
Strong management ability with demonstrated experience managing a team
Direct experience in building and managing a compliance program covering market conduct and fraud, including managing technology solutions and applying data analytics for insight into risks and trends
In-depth understanding of Market Conduct and Fraud current developments and risk mitigation techniques
In-depth working knowledge of Market Conduct and Fraud governing legislation, related regulations, guidelines and best practices
Expert knowledge of financial services industry market conduct & fraud compliance issues and regulatory focus
Expert ability to identify market conduct & fraud risks
Understanding of risk assessment methodology
Integrity to do the right thing under difficult circumstances and ability to make reasonable, principled and practical decisions
Strong verbal and written communication, interpersonal and teamwork skills
Ability to work effectively with persons at all levels in the organization
Ability to operate and succeed in a complex and fast-changing environment
Aptitude and interest to transform through technology solutions
Qualifications:
Minimum of 8 years of progressive experience in compliance, governance, or risk management in the financial services industry, including at least 5 years of experience in Market Conduct and Fraud Compliance
Post-secondary education; preferably a degree in Statistic, Law, Finance or other relevant advanced degree or certifications (e.g., CFE)
Demonstrated experience and understanding of Market Conduct and Fraud Compliance risk management principles and risk-based compliance programs related to the financial services industry
Proven supervisory or team leadership experience
Job Category:
CompliancePosting End Date:
10/07/2026Skills Required
- Minimum 8 years progressive experience in compliance, governance, or risk management in the financial services industry
- At least 5 years of experience in Market Conduct and Fraud Compliance
- Proven supervisory or team leadership experience
- Direct experience building and managing a market conduct and fraud compliance program
- Experience managing technology solutions and applying data analytics for fraud insight
- In-depth working knowledge of market conduct and fraud legislation, regulations, guidelines and best practices
- Demonstrated understanding of risk assessment methodology and fraud risk management principles
- Expert ability to identify market conduct and fraud risks and implement mitigation strategies
- Strong verbal and written communication, interpersonal and teamwork skills
- Post-secondary education (degree in Statistics, Law, Finance or relevant advanced degree) or certifications (e.g., CFE)
- Aptitude and interest in transforming processes through technology solutions
- Integrity and ability to make principled, practical decisions under difficult circumstances
What We Do
A UK company, Sun Life Financial of Canada is focused on building excellent customer service by offering the highest levels of customer care. We have been serving customers in the UK for over 100 years








