About The Position

As a Sr Manager, Fraud Prevention, your day begins by setting direction across fraud, risk, compliance, and audit activities while serving as a primary leader for internal and external stakeholder engagement. While the fraud team reports into this role, the primary focus is on risk management, compliance oversight, audit execution, incident management, and executive- and client-facing communication, rather than day-to-day fraud operations. You will lead internal and external audits, manage fraud-related incidents and compliance defects, and represent FIS in leadership meetings, client discussions, and conference settings. This role works closely with product and operations teams to understand company goals and objectives, drive compliant fraud prevention solutions, and support fraud product strategy and sales. Work arrangement Schedule: Standard business hours with flexibility during audit cycles, client engagements, incident response activities, or conference participation

Requirements

  • Significant experience in fraud prevention, risk management, compliance, audit, or incident management within financial services, fintech, payments, or other regulated environments
  • Proven experience coordinating internal and external audits and working directly with auditors, regulators, clients, and senior leadership
  • Strong executive presence with the ability to communicate complex fraud and compliance topics clearly and effectively
  • Demonstrated success working cross-functionally to drive outcomes across multiple teams and stakeholders
  • Excellent written and verbal communication skills with a strong focus on clarity, accountability, and influence

Nice To Haves

  • Experience supporting client-facing fraud programs or regulated government or public-sector clients
  • Prior participation in industry conferences, panels, or speaking engagements
  • Familiarity with fraud control frameworks, regulatory standards, or formal audit and incident management methodologies

Responsibilities

  • Leading internal and external fraud-related audits, coordinating cross-functional stakeholders and driving all audit activities to timely and successful completion
  • Serving as the primary owner for fraud risk, compliance, and audit management, including issue identification, remediation tracking, and executive reporting
  • Owning incident management for fraud and compliance defects, including response coordination, root cause analysis, corrective action planning, and stakeholder communication
  • Acting as a senior client- and leadership-facing representative, delivering presentations and leading discussions related to fraud, compliance, and risk in meetings and conference settings
  • Partnering with product and operations teams to understand company objectives and drive solutions across compliance, fraud prevention, and fraud product sales

Benefits

  • A voice in the future of fintech
  • Always-on learning and development
  • Collaborative work environment
  • Opportunities to give back
  • Competitive salary and benefits
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service