Senior Compliance Advisor

TechAlliance of Southwestern Ontario, London Economic Development Corporation

London

On-site

CAD 76,000 - 126,000

Full time

2 days ago
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Benefits offered by this job

Career Development
Health & Wellness
Time Off
Financial Security
Rewards & Recognition
Community ERGs

Job summary

Canada Life is hiring a Senior Compliance Advisor to support Client Operations & Business Enablement and central business units. You will provide business-focused compliance advice, challenge regulatory requirements, and help address risks in partnership with Legal and second-line oversight.

You will design and maintain compliance programs, lead regulatory change, and prepare governance reporting for senior leaders. Strong communication and stakeholder-management skills are essential.

Qualifications

  • Five or more years of experience in a compliance, regulatory, or risk role within financial services.
  • Strong knowledge of regulatory requirements and compliance practices relevant to the business areas supported.
  • Experience with regulatory change, compliance advisory services, monitoring or testing, issue management, or governance reporting.
  • Proven ability to build collaborative relationships, provide effective challenge, and clarify ownership across multiple stakeholders.
  • Demonstrated ability to translate complex regulatory information into practical actions.

Responsibilities

  • Advise aligned business units on applicable legal, regulatory, and corporate compliance requirements and their practical application to business activities.
  • Assess regulatory developments and business changes, identify compliance impacts, and define clear requirements, accountabilities, and implementation considerations.
  • Lead regulatory change and issue-management activities, including gap assessments, remediation planning, implementation oversight, evidence collection, and status reporting.
  • Design, implement, and maintain compliance programs, controls, policies, procedures, and supporting documentation aligned with the Business Risk & Control Framework.
  • Plan and execute risk-based compliance monitoring and testing, document findings, and oversee corrective actions through completion.
  • Prepare concise compliance metrics, dashboards, and decision-ready reporting for governance committees, risk forums, and senior leaders.
  • Respond to compliance inquiries and collaborate with business partners, Legal, second-line oversight functions, and other stakeholders to resolve issues and clarify ownership.
  • Maintain accurate regulatory trackers, implementation plans, governance records, and audit-ready evidence repositories.
  • Contribute to enterprise and cross-functional initiatives that strengthen governance, risk management, and regulatory compliance practices.

Skills

Regulatory requirements
Compliance practices
Regulatory change
Governance reporting
Communication skills

Education

Post-secondary education

Tools

Microsoft Office

Job description

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As the organization continues to strengthen its Business Risk & Control function, we are seeking aSenior Compliance Advisor to support parts of Client Operations & Business Enablement (COBE) and central business units. Reporting to the Director, Compliance, you will provide business-focused compliance advice and effective challenge on regulatory requirements, business practices, and change initiatives. You will work closely with business partners, Legal, and second-line oversight functions to help identify and address compliance risks, support sound decision-making, and strengthen regulatory compliance across the organization.

What you will do
  • Advise aligned business units on applicable legal, regulatory, and corporate compliance requirements and their practical application to business activities.
  • Assess regulatory developments and business changes, identify compliance impacts, and define clear requirements, accountabilities, and implementation considerations.
  • Lead regulatory change and issue-management activities, including gap assessments, remediation planning, implementation oversight, evidence collection, and status reporting.
  • Design, implement, and maintain compliance programs, controls, policies, procedures, and supporting documentation aligned with the Business Risk & Control Framework.
  • Plan and execute risk-based compliance monitoring and testing, document findings, and oversee corrective actions through completion.
  • Prepare concise compliance metrics, dashboards, and decision-ready reporting for governance committees, risk forums, and senior leaders.
  • Respond to compliance inquiries and collaborate with business partners, Legal, second-line oversight functions, and other stakeholders to resolve issues and clarify ownership.
  • Maintain accurate regulatory trackers, implementation plans, governance records, and audit-ready evidence repositories.
  • Contribute to enterprise and cross-functional initiatives that strengthen governance, risk management, and regulatory compliance practices.
What you will bring
  • Five or more years of experience in a compliance, regulatory, or risk role within financial services.
  • Strong knowledge of regulatory requirements and compliance practices relevant to the business areas supported.
  • Experience with regulatory change, compliance advisory services, monitoring or testing, issue management, or governance reporting.
  • Proven ability to build collaborative relationships, provide effective challenge, and clarify ownership across multiple stakeholders.
  • Demonstrated ability to assess complex regulatory information, identify business impacts, and translate requirements into practical actions.
  • Strong written and verbal communication skills, with the ability to prepare concise materials and explain compliance expectations to varied audiences.
  • Strong organizational and project-management skills, with the ability to manage competing priorities and reporting deadlines.
  • Post-secondary education or an equivalent combination of education and relevant experience.
  • Experience supporting insurance, wealth management, investment, or financial services operations.
  • Knowledge of applicable Canadian federal and provincial regulators and regulatory frameworks, including requirements administered by OSFI, CIRO, OSC, or other relevant authorities.
  • Experience using compliance, governance, risk, issue-management, or regulatory-change tools.
  • Proficiency in Microsoft Office applications, including the ability to develop clear reports and presentations.

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The base salary for this position is between $75,500 - $125,500 annually. This represents base salary only and does not represent other variable compensation components of our total compensation ( i.e. annual bonus, commission etc). If you are selected to move forward in our recruitment process, your recruiter will be able to discuss additional details of our total rewards program with you.

Career opportunities will be open a minimum of 5 business days from the date of posting, closing dates will vary depending on the search activity. All applications received will be reviewed on a rolling basis.

Grow with Canada Life

We’reunited by a shared purpose: to improve the financial,physicaland mental well-beingof Canadians. Our company is trusted by 1 in 3 Canadians and contributes to the strength of communities across the country.

We’relooking for people who live our values everyday: we step up, we do the right thing, and we deliver – for our customers,communitiesand each other.Are you someone who always strives to do the right thing, who steps up for themselves and others, and who delivers with impact? Then we want to hear from you!

What we offer

We’re committed to supporting our employees through every stage of their career. Here’s what you can expect as a full-time or part-time permanent team member:

  • Career Development: Opportunities for career advancement, access to industry-leading learning programs and up to$2,000 annuallytowardseducation reimbursement.
  • Health & Wellness:Flexible health and dental benefits,plus a $5,000 mental health benefit to support your well-being.
  • Time Off:In addition to regular vacation andpersonal days,we support communityinvolvement with avolunteer day.
  • Financial Security:Company-matching pension plan,share ownership program andadditionalinvestment options.
  • Rewards and Recognition:Employee recognition programs, service milestone celebrations, employee discounts and more!
  • Emphasis onCommunity:We provide aworkplace whereemployeesfeel connected and supported throughEmployee Resource Groups (ERGs),mentorshipprograms,socialclubsandevents.

We’recommitted to removing barriers and ensuring equal access to employment. Applicants requiring reasonable accommodation during the application process may contact talentacquisitioncanada@canadalife.com . All information provided will be handledin accordance withapplicable laws and Canada Life policies.

Canada Life would like to thank all applicants, however only those who qualify for an interview will be contacted.

#LI-Hybrid

Location: London, ON, CA Winnipeg, MB, CA Toronto, ON, CA

Date: Sep 11, 2026

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