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AVP of Regulatory Affairs

2 months ago


Wellesley Hills, Massachusetts, United States Sun Life Financial Full time

At Sun Life Financial, we recognize that every individual brings a unique blend of experiences and perspectives. Here, you will be empowered to thrive and encouraged to reach your full potential. Collaborate with a team of skilled professionals who are eager to share their expertise and insights. Our leadership is dedicated to inspiring you to achieve new heights in your career.

Position Overview:

Location: We offer flexible working arrangements across the contiguous United States.

We seek optimistic individuals who are passionate about enhancing the lives of our clients. Embracing diverse cultures, perspectives, and identities is vital to our mission, and we encourage you to bring your authentic self to work.

Your Role:

  • Report directly to the Senior Compliance Officer of the U.S. Business Group.
  • Lead initiatives in Privacy, Financial Crime, Anti-Fraud, and Regulatory Compliance Management.
  • Oversee teams dedicated to Corporate Compliance, ensuring alignment with both enterprise and local requirements.
  • Utilize data analytics to derive insights and support compliance objectives, collaborating with other Compliance leaders.
Key Responsibilities:
  • Maintain up-to-date knowledge of laws and regulations pertinent to Compliance programs.
  • Monitor trends in legal and regulatory practices that may impact the U.S. Business Group.
  • Provide proactive guidance on compliance-related matters and industry best practices.
  • Engage in business unit meetings, offering constructive feedback and insights.
  • Challenge first line functions regarding risk management and controls.
  • Prepare comprehensive reports and correspondence for senior management.
  • Manage responses to regulatory inquiries and examinations.
  • Update and maintain Operating Guidelines and Procedures.
  • Communicate compliance changes to relevant stakeholders.
  • Supervise risk-based testing of controls to ensure regulatory compliance.
  • Exemplify ethical standards and promote a culture of integrity.
  • Participate in reviews and meetings related to Business Practices and Risk Management.
  • Represent the company in trade associations and committees.
  • Assist in the development and execution of the annual compliance plan.
  • Perform additional duties as assigned.
Qualifications:
  • Experienced professional in insurance or financial services with a strong compliance background.
  • Bachelor's degree; advanced degrees or relevant certifications are advantageous.
  • Proven ability to work collaboratively in a team-oriented environment.
  • Strong analytical skills and sound judgment in prioritizing issues.
  • Effective communication skills, both verbal and written, with the ability to simplify complex topics.
  • Ability to navigate ambiguity and assist others in managing risks.
  • Demonstrated leadership capabilities with experience in developing diverse teams.
  • Familiarity with regulatory processes and compliance risk assessment.
  • Experience in data analytics related to compliance is preferred.

At Sun Life Financial, we are committed to fostering a diverse and inclusive workplace. We welcome all qualified candidates and value the unique contributions each individual brings.

Why Join Us:

  • Comprehensive benefits and wellness programs to support your overall well-being.
  • Retirement and stock purchase plans to enhance your financial security.
  • A flexible work environment that promotes collaboration and inclusivity.
  • Recognition as a Great Place to Work in both Canada and the U.S.