Chief Compliance Officer (CCO)

Collins Recruitment Group

Toronto

On-site

CAD 180,000 - 240,000

Full time

14 days+

Get more replies from employers

Send a job-specific resume in minutes.

Benefits offered by this job

Annual bonus
Comprehensive benefits package

Job summary

Collins Recruitment Group is representing a respected Canadian investment management and multi-family office firm seeking an experienced Chief Compliance Officer to lead the firm’s compliance program in Toronto. This in‑office role requires a strategic, risk‑skilled executive who will implement governance, policies, and regulatory reporting.

You will engage regulators, oversee KYC and onboarding from a compliance lens, manage training, and sustain an enterprise‑wide culture of integrity and

Qualifications

  • Registration as, or eligibility for registration as, Chief Compliance Officer with the Ontario Securities Commission under NI 31-103.
  • Extensive knowledge of Canadian securities legislation and compliance frameworks (NI 31-103, NI 81-107, NI 45-106, NI 33-109).
  • Experience overseeing compliance programs within a registered investment firm (IFM/EMD/PM experience preferred).
  • Strong understanding of portfolio management, client servicing, and investment operations.

Responsibilities

  • Oversee and monitor the effectiveness of the firm's compliance program across all business activities.
  • Ensure compliance with securities legislation and regulatory obligations.
  • Maintain ultimate accountability for the firm's compliance function, including delegated responsibilities.
  • Review and update policies in response to regulatory developments and business changes.
  • Approve and oversee key internal policies (regulatory, risk management, data protection).
  • Foster a strong culture of compliance and ensure adequate resourcing.
  • Maintain records of regulatory breaches and remediation measures.
  • Oversee outsourced compliance arrangements and due diligence.

Skills

Communication skills
Regulatory knowledge
Microsoft Office
Compliance systems
AI tools familiarity

Job description

On behalf of a highly respected, independent Canadian investment management and multi-family office firm, we are seeking an experienced Chief Compliance Officer (CCO) to lead and oversee the firm's compliance function.

This organization specializes in investment management and wealth advisory services, utilizing a disciplined, pension-style investment approach across equities, fixed income, and alternative investments. The firm is committed to delivering exceptional client service while fostering a collaborative, high-performance culture built on integrity, partnership, and excellence.

Reporting directly to the Chief Operating Officer and Ultimate Designated Person (UDP), the Chief Compliance Officer will be responsible for establishing, maintaining, and overseeing the firm's compliance framework, ensuring adherence to applicable securities legislation and regulatory requirements. This individual will provide hands‑on enterprise‑wide compliance oversight, ensuring systems, policies, and controls remain effective, appropriately resourced, and aligned with regulatory expectations under NI 31‑103 and related obligations.

This is an in‑office position based in Toronto.

KEY RESPONSIBILITIES

Regulatory Oversight & Compliance Framework

  • Oversee and monitor the effectiveness of the firm's compliance program across all business activities.
  • Ensure compliance with applicable securities legislation and regulatory obligations.
  • Maintain ultimate accountability for the firm's compliance function, including where responsibilities have been delegated.
  • Review and update compliance policies and procedures in response to regulatory developments and business changes.
  • Approve and oversee key internal policies, including regulatory, risk management, and data protection policies.
  • Foster a strong culture of compliance while ensuring the compliance function is appropriately resourced.
  • Maintain records of regulatory breaches, including remediation efforts and preventative measures.
  • Oversee outsourced compliance‑related arrangements and ensure appropriate due diligence and controls are maintained.

Supervision & Monitoring

  • Supervise employees, officers, and registered individuals with respect to compliance requirements.
  • Delegate responsibilities to compliance staff or external advisors where appropriate, while retaining overall accountability.
  • Ensure employees receive the training, knowledge, and resources necessary to meet regulatory expectations.

Complaints Handling & Client Protection

  • Serve as the firm's designated Complaints Officer.
  • Ensure client complaints are managed fairly, objectively, and within prescribed regulatory timelines.
  • Oversee complaint resolution processes, documentation, and client communications.

Regulatory Interaction & Reporting

  • Act as the primary liaison with securities regulators on compliance matters.
  • Ensure timely and accurate regulatory filings, reporting, and responses.
  • Lead and support regulatory reviews, examinations, and audits.

Compliance Operations & Business Integration

  • Oversee compliance aspects of client onboarding, Know Your Client (KYC), and suitability reviews.
  • Oversee trade supervision, approvals, and pooled fund compliance oversight and reporting.
  • Contribute to the development, implementation, and ongoing administration of compliance‑related policies and operational processes.
QUALIFICATIONS & EXPERIENCE

The successful candidate will possess:

  • Registration as, or eligibility for registration as, Chief Compliance Officer (IFM, EMD and PM) with the Ontario Securities Commission under National Instrument 31‑103.
  • Extensive knowledge of Canadian securities legislation and compliance frameworks, including NI 31‑103, NI 81‑107, NI 45‑106, and NI 33‑109.
  • Demonstrated experience overseeing compliance programs within a registered investment firm (Investment Fund Manager, Exempt Market Dealer and/or Portfolio Manager experience preferred).
  • Strong understanding of portfolio management, client servicing, and investment operations.
  • Excellent written and verbal communication skills, with the ability to effectively engage regulators, executive leadership, and internal stakeholders.
  • Sound judgment, strong commercial acumen, exceptional attention to detail, and a proactive approach to risk management.
  • Proficiency with Microsoft Office applications; experience with compliance management systems and fund administration platforms is considered an asset.
  • Familiarity with emerging technologies, including AI‑enabled tools, is an asset.

If you are an experienced compliance executive looking to play a strategic leadership role within a respected and growing investment management firm, we would welcome the opportunity to speak with you confidentially.

COMPENSATION
  • Competitive annual base salary, bonus, and comprehensive benefits package.

If this opportunity is of interest to you, please forward your resume to Shan Collins at:

All inquiries and applications will be held in the strictest confidence.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Chief Compliance Officer
Chief Compliance Officer

Hunter Mercantile • Toronto

On-site
CAD 130,000 - 190,000
Chief Compliance Officer (CIRO)
Chief Compliance Officer (CIRO)

BJRC Recruiting • Toronto

On-site
CAD 180,000 - 260,000
Regulatory Compliance Specialist
Regulatory Compliance Specialist

The Successful Investor • Toronto

On-site
CAD 80,000 - 120,000
Compliance Manager
Compliance Manager

Staffing In Motion • Montreal (administrative region)

On-site
CAD 90,000 - 135,000
Base salary + bonus/profit share
Full Health and RRSP program
Wellness/Vacation/Personal Time Off
Senior Manager, Portfolio Compliance
Senior Manager, Portfolio Compliance

Connor, Clark & Lunn group • Toronto

On-site
CAD 150,000 - 180,000
Compliance Officer – Responsable, conformité
Compliance Officer – Responsable, conformité

BJRC Recruiting • Montreal

On-site
CAD 70,000 - 90,000
Senior Manager, Portfolio Compliance
Senior Manager, Portfolio Compliance

Socket.dev • Vancouver

On-site
CAD 208,000 - 250,000
Senior Manager, Portfolio Compliance
Senior Manager, Portfolio Compliance

Connor, Clark & Lunn Financial Group (CC&L) • Vancouver

On-site
CAD 150,000 - 180,000
Senior Manager, Portfolio Compliance
Senior Manager, Portfolio Compliance

Connor, Clark & Lunn Financial Group (CC&L) • Toronto

On-site
CAD 150,000 - 180,000
Annual bonus
Senior Manager, Portfolio Compliance
Senior Manager, Portfolio Compliance

Connor, Clark & Lunn Financial Group Ltd. • Vancouver

Hybrid
CAD 150,000 - 180,000