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A leading financial services provider in Toronto is seeking an Associate Director, AML to ensure compliance with AML/CTF and Sanctions requirements. The role involves overseeing compliance across multiple financial services products, supporting transformation initiatives and ensuring integration of AML controls. Ideal candidates will have over 10 years of experience in AML and a deep understanding of Canadian regulations. Competitive salary and career development opportunities are offered.
What is the opportunity?
The Associate Director, AML will be a senior leader within RBC Investor Services, responsible for providing subject matter expertise across Investor Services products to ensure compliance with Canadian and international AML/CTF and Sanctions requirements. This role focuses on payments, cash management, and securities transaction flows within custody, fund administration, securities lending, FX, and collateral management. The AML Lead ensures compliance is embedded in the product lifecycle, balances regulatory expectations with client experience, and supports transformation initiatives that enhance AML effectiveness across securities services.
Ensure compliance with Canadian AML/CTF obligations, including FINTRAC (PCMLTFA), OSFI Guideline B-8, and IIROC/CSA requirements and internal AML enterprise and business specific policies.
Understand international AML/CTF and sanctions regimes (FINTRAC, EU AMLDs, UK MLRs, OFAC, UN) and assess impact on product offerings and translate regulatory requirements into effective product-level controls for payments, cash, and securities transaction flows.
Act as AML Lead on transformational programs on cash/payments & securities modernization.
Act as AML SME in new product approvals, enhancements, and lifecycle management. and lead AML risk assessments for high-volume transaction flows (securities settlement, corporate actions, payments, FX, collateral).
Ensure AML requirements and policy specific considerations are embedded in KYC/CDD, sanctions screening, and monitoring frameworks. Assisting in ensuring completeness of the risk & control register across Investor Services, and contribute to regulatory reviews, audits, and product risk forums.
Partner with onboarding and operations teams to ensure AML compliance for asset managers, pensions, sovereigns, and pooled vehicles; and partner with AML Advisory for any new product offerings, gaps or AML/sanctions related issues
Act as the IS AML SME and centre of contact and expertise for Financial crime partners
Manage and ensure appropriate sign off on any high risk clients that are sent to the business for approval, and provide monthly updates to AML Advisory on all things AML /sanctions
Provide AML guidance for payments, securities settlement, and complex cash movements, and support responses to regulator and client due diligence requests.
Lead AML initiatives in cash/payment monitoring, securities & transaction screening, and represent Product in enterprise AML governance and transformation forums.
Partner with Technology & Operations to integrate AML controls into payment platforms and securities processing systems and workflows.
10+ years AML/Financial Crime experience in securities services, custody, fund administration, payments, or capital markets.
Strong knowledge of Canadian AML/CTF regulations (FINTRAC, OSFI, CSA/IIROC) and international frameworks.
Expertise in AML risks tied to payments, cash management, and securities transactions.
Proven track record embedding AML into product and operational frameworks.
Familiarity with custody, fund accounting, securities lending, FX, collateral, and cash management.
Understanding of Data Management & Governance, Data engineering and analytics
We thrive on the challenge to be our best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper. We care about each other, reaching our potential, making a difference to our communities, and achieving success that is mutual.
Anti-Money Laundering Compliance, Communication, Critical Thinking, Group Problem Solving, Long Term Planning, Product Governance, Product Services, Regulatory Policies, Regulatory Requirements
Address: RBC CENTRE, 155 WELLINGTON ST W:TORONTO
City: Toronto
Country: Canada
Work hours/week: 37.5
Employment Type: Full time
Platform: WEALTH MANAGEMENT
Job Type: Regular
Pay Type: Salaried
Posted Date: 2025-11-21
Application Deadline: 2025-12-05
Applications will be accepted until 11:59 PM on the day prior to the application deadline date above
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