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Manager, Financial Crime Managed Services- Mississauga, ON (In-office)

  • Mississauga, ON
  • On-site
  • Posted Oct 8, 2026
  • 1 position

$88,000–$119,000 / year

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Employment type
Full-time
Experience level
Lead · 10+ years
Minimum education
Professional degree
Posting language
English
Working hours
40 hours per week

Job summary

The manager will lead and enhance AML, KYC, sanctions, and regulatory compliance programs while managing a global team of over 25 professionals. They are responsible for developing governance frameworks, conducting risk assessments, and driving operational excellence through process optimization.

Job details

Job Description: AML RightSource is the leading expert solutions provider of managed services and advisory, dedicated exclusively to financial crime compliance. As financial crime continues to evolve, we help organizations stay ahead through expert-led services and deep industry knowledge. Specializing in anti-money laundering, financial crime prevention, and third-party compliance, we deliver tailored solutions that enhance operational efficiency and reduce business risk. With a global presence and a team of more than 7,000 specialized, trained professionals, AML RightSource partners closely with clients to transform their compliance programs into strategic advantages. Our focused expertise and partnership-driven approach ensure adaptable, scalable solutions that meet today’s complex regulatory demands. We empower organizations to strengthen compliance, protect their businesses, and confidently navigate an ever-changing financial crime landscape. About the Position Location: Mississauga, Ontario (In-office) Experience: 8-10+ years | Sector: AML, Fintech & Banking Advisory This posting is for an existing vacancy We are seeking an experienced Financial Crimes Compliance Manager to lead and enhance our Anti-Money Laundering (AML), Know Your Customer (KYC), sanctions, and regulatory compliance programs. This role is responsible for developing and maintaining compliance frameworks, managing global teams, overseeing risk assessments, driving operational excellence, and ensuring compliance with applicable regulatory requirements across multiple jurisdictions. The ideal candidate will possess deep expertise in AML/CTF compliance, transaction monitoring, sanctions governance, risk management, and regulatory program oversight within banking, insurance, consulting, or financial services environments. Primary Responsibilities Lead the design, implementation, and enhancement of AML, sanctions, transaction monitoring, and financial crimes compliance programs. Develop and maintain policies, procedures, controls, and governance frameworks to meet regulatory obligations. Conduct compliance risk assessments and implement mitigation strategies. Ensure adherence to AML, KYC, sanctions, and financial crime regulations across multiple jurisdictions. Monitor regulatory developments and recommend program enhancements accordingly. Leadership & Team Management Manage, coach, and develop a team of 25+ high-performing compliance professionals across global locations. Establish quality assurance standards and drive continuous process improvement initiatives. Create employee development plans, training curricula, and performance management processes. Foster a culture of accountability, collaboration, and compliance excellence. Risk Management & Controls Evaluate AML systems, controls, and monitoring processes to identify gaps and remediation opportunities. Lead compliance testing, audits, investigations, and control assessments. Implement quality control measures to improve effectiveness and regulatory readiness. Support internal and external audits and regulatory examinations. Stakeholder & Client Management Partner with senior leadership, business stakeholders, and external clients to develop practical compliance solutions. Present compliance metrics, risk assessments, and program updates to executive leadership and governance committees. Prepare periodic management and board-level reporting on compliance performance and emerging risks. Collaborate with cross-functional teams to align compliance objectives with business strategies. Operational Excellence Drive process optimization initiatives to improve efficiency, quality, and scalability. Develop and maintain standard operating procedures (SOPs), training materials, and process documentation. Utilize data analytics and reporting tools to identify trends, measure effectiveness, and support decision-making. Lead transformation initiatives related to financial crimes compliance programs. Required Qualifications Bachelor's degree in Business, Commerce, Finance, Accounting, Risk Management, or a related field. Professional certifications such as CAMS, ICA, CRCM, ACAMS, CPA, CA, or equivalent preferred. 8+ years of progressive experience in AML, financial crimes compliance, risk management, audit, or regulatory compliance. Experience leading compliance teams and managing global or cross-functional stakeholders. Demonstrated experience implementing AML, KYC, sanctions, and transaction monitoring programs. Experience in banking, insurance, consulting, financial services, or fintech environments. Prior experience managing client relationships and regulatory compliance initiatives. Preferred Qualifications Anti-Money Laundering (AML) Counter-Terrorist Financing (CTF) KYC/CDD/EDD programs Sanctions compliance Regulatory compliance management Compliance testing and monitoring Risk assessments Internal controls and governance Quality assurance frameworks Transaction monitoring Stakeholder management Executive reporting Team leadership and coaching Process improvement and operational excellence Familiarity with tools such as Fenergo, World-Check, and other AML platforms Compensation & Benefits Salary Range: CAD 88,000-119,000 annually (based on experience) Comprehensive benefits package, including health and dental benefits, retirement savings plan with employer matching, and competitive paid vacation Professional development opportunities Collaborative work environment with global exposure AI Screening Notice AML RightSource may use AI tools to support candidate screening; however, all hiring decisions are made through human review. Equal Opportunity Employer & Accessibility AML RightSource is an Equal Opportunity Employer and we welcome diversity in the workforce. All qualified applicants will receive consideration for employment without discrimination. We are committed to providing accommodations to individuals with disabilities throughout all aspects of the recruitment process. If you require accommodation to participate in the recruitment and selection process, please email hiring@amlrightsource.com or discuss your needs when contacted for an interview. Recruitment Scam Alerts We’re aware of an increase in recruitment scams where individuals falsely claim to represent AML RightSource. These scammers may ask for money or personal information by offering fake job opportunities through email, text message, or social media. Please verify the source of any job-related communications carefully. All official AML RightSource communications are conducted through “@amlrightsource.com” email addresses. If you encounter suspicious messages, do not respond.

What you’ll do

The manager will lead and enhance AML, KYC, sanctions, and regulatory compliance programs while managing a global team of over 25 professionals. They are responsible for developing governance frameworks, conducting risk assessments, and driving operational excellence through process optimization.

Requirements

Candidates must hold a bachelor's degree in a relevant field and possess 8+ years of progressive experience in financial crimes compliance or risk management. Professional certifications such as CAMS, ICA, or CRCM are preferred, along with demonstrated leadership experience in banking or financial services.

Benefits

  • Health benefits
  • Dental benefits
  • Retirement savings plan
  • Employer matching
  • Paid vacation
  • Professional development opportunities

Listed skills

  • Policy development · Preferred
  • Quality assurance · Preferred
  • Regulatory Compliance · Preferred
  • Executive Reporting · Preferred
  • Risk Management · Preferred
  • Team Leadership · Preferred
  • Process Improvement · Preferred
  • Stakeholder Management · Preferred
  • transaction monitoring · Preferred

Other relevant skills

Identified from the job description. Confirm important requirements above.

  • Anti-money laundering
  • Financial crime compliance
  • Know your customer
  • Sanctions governance
  • Risk management
  • Transaction monitoring
  • Regulatory compliance
  • Team leadership
  • Quality assurance
  • Process improvement
  • Stakeholder management
  • Executive reporting
  • Compliance testing
  • Data analytics
  • Policy development
  • Compliance Management
  • Emerging Risk
  • Operational Efficiency
  • Know Your Customer
  • Financial Technology (FinTech)
  • Regulatory Compliance Management
  • Accountability
  • Compliance Risk Management
  • Transaction Monitoring
  • Compliance Risk
  • Compliance Testing
  • Crime Prevention
  • Automated Critical Asset Management Systems
  • Accounting
  • Data Analysis
  • Auditing
  • Banking
  • Customer Relationship Management
  • Internal Controls
  • Management
  • Certified Public Accountant
  • Decision Making
  • Communication
  • Regulatory Compliance
  • Consulting
  • Continuous Improvement Process
  • Training And Development
  • Certified Regulatory Compliance Manager
  • Curriculum Development
  • Performance Management
  • Finance
  • External Auditing
  • Financial Services
  • Standard Operating Procedure
  • Governance

Job areas

  • Finance & Accounting
  • Management & Leadership
  • Consulting
  • Security & Safety
  • Financial Crimes Manager
  • Office Manager (General)
  • Office Supervisors
  • First-Line Supervisors of Office and Administrative Support Workers