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Chief Compliance Officer, Canada

Millennium Management

Toronto

On-site

CAD 90,000 - 150,000

Full time

Yesterday
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Job summary

An established industry player is seeking a Chief Compliance Officer to lead compliance initiatives and ensure regulatory adherence. This pivotal role involves developing compliance programs, advising on regulatory changes, and managing relationships with regulators. The successful candidate will have a strong background in compliance and risk management within financial services, along with exceptional communication and analytical skills. Join a forward-thinking team dedicated to maintaining the highest standards of compliance while driving innovation in the industry.

Qualifications

  • 8+ years of experience in compliance or regulatory oversight in financial services.
  • Strong verbal and written communication skills with analytical abilities.

Responsibilities

  • Develop compliance programs and ensure adherence to regulatory guidelines.
  • Advise on regulatory changes and implement necessary policy updates.

Skills

Compliance Management
Risk Management
Regulatory Oversight
Analytical Skills
Communication Skills
Problem-Solving

Education

Canadian Securities Course
CFA Charter or equivalent

Tools

National Registration Database (NRD)

Job description

Chief Compliance Officer, Canada

We are seeking a Chief Compliance Officer to join our team in Canada. As a Chief Compliance Officer in Canada, you will play a crucial role in ensuring that our operations strictly adhere to regulatory guidelines, while driving forward innovative compliance initiatives.

Responsibilities
  1. Promote a culture of compliance, develop strong and effective compliance programs, and set industry standards.
  2. Provide oversight, supervision, and review of all regulated activities within the firm; monitor and assess compliance of the firm, its registered individuals, and employees; and offer day-to-day guidance and strategic planning assistance to business units.
  3. Advise on and implement regulatory changes, policy updates, and compliance requirements to ensure continuous compliance and improvement of business operations.
  4. Advise management of issues, recommend corrective actions, and work with business units to implement changes to firm-wide operating policies and procedures in areas of compliance, portfolio management, and trading.
  5. Develop written policies, processes, and procedures to ensure regulatory compliance.
  6. Educate and train personnel about compliance procedures and new regulatory initiatives.
  7. Assist and provide regulatory support on existing trading practices and new initiatives.
  8. Collaborate with the global Compliance team to investigate and address regulatory concerns and resolve issues.
  9. Assess inherent risks and conflicts of interest across internal business lines.
  10. Manage relationships with applicable regulators on behalf of the firm.
  11. Develop and implement transactional, periodic, and forensic testing programs to assess the adequacy of the firm’s policies and procedures.
  12. Assist the firm in implementing corrective actions as identified by testing programs.
  13. Manage regulatory and sweep examinations.
  14. Maintain all regulatory registrations and authorizations.
  15. Respond to complex compliance audit questions and requests from business units and provincial regulators.
  16. Ensure timely and accurate regulatory reporting to securities regulatory authorities, FINTRAC, and other regulatory bodies as required.
  17. Recommend risk management methods.
  18. Oversee the firm's AML and privacy compliance programs.
Qualifications
  1. Minimum 8 years of experience in compliance, risk management, or regulatory oversight within the financial services industry.
  2. Outstanding verbal and written communication skills, along with excellent analytical and problem-solving abilities.
  3. Completion of Canadian Securities Course and Partners, Directors and Senior Officers Course.
  4. Working knowledge of the National Registration Database (NRD).
  5. Earned a CFA Charter or an equivalent professional designation (e.g., Chartered Accountant, Certified General Accountant, Certified Management Accountant).
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