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1,039

Compliance jobs in Canada

Compliance, Assistant Vice President (6 months term)

MUFG Americas

Toronto
On-site
CAD 80,000 - 100,000
30+ days ago
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Chief Compliance Officer and CAMLO, Canada

Coinbase

Canada
On-site
CAD 237,000
30+ days ago

Manager, Compliance Testing

Capital One

Toronto
Hybrid
CAD 80,000 - 100,000
30+ days ago

Regulatory Compliance Manager

Fidelity Canada

Toronto
On-site
CAD 75,000 - 100,000
30+ days ago

Director, Compliance Operations

OMERS

Toronto
Hybrid
CAD 120,000 - 150,000
30+ days ago
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Product Manager, Compliance

Payworks

Toronto
Hybrid
CAD 80,000 - 100,000
30+ days ago

Product Manager, Compliance

Payworks

Calgary
Hybrid
CAD 80,000 - 100,000
30+ days ago

Specialist, Health and Safety

Gordon Food Service

Edmonton
On-site
CAD 70,000 - 90,000
30+ days ago
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Legal Counsel - Technology & Trade Compliance

Kepler Communications

Toronto
On-site
CAD 80,000 - 120,000
30+ days ago

Security Analyst - 1 Year Contract

Toronto Parking Authority

Toronto
On-site
CAD 80,000 - 110,000
30+ days ago

Regional Health, Safety and Environmental Manager, North America

ATS Automation

Cambridge
Hybrid
CAD 80,000 - 110,000
30+ days ago

Product Compliance Student*Stagiaire en conformité des produits

Axis Communications

Canada
On-site
CAD 30,000 - 60,000
30+ days ago

Microsoft 365 Purview and Modern Work Security Specialist

Charter

Vancouver
Hybrid
CAD 100,000 - 130,000
30+ days ago

Administrative Assistant, Data Services (18 Months Contract)

Global Relay

Vancouver
Hybrid
CAD 45,000 - 55,000
30+ days ago

Manager, Engineering Codes and Compliance

Southwire

Mississauga
Hybrid
CAD 80,000 - 120,000
30+ days ago

Data Center Technician I

Hut 8

Kelowna
On-site
CAD 45,000 - 65,000
30+ days ago

Environmental Manager

Parsons

Yukon
On-site
CAD 80,000 - 120,000
30+ days ago

Staff Software Engineer, Client Platforms

GeoComply

Vancouver
On-site
CAD 160,000 - 220,000
30+ days ago

Operational Risk Manager (Technology)

Russell Investments

Toronto
On-site
CAD 90,000 - 120,000
30+ days ago

Employee & Labour Relations Specialist

Ontario Teachers' Pension Plan

Toronto
Hybrid
CAD 75,000 - 95,000
30+ days ago

HSE Coordinator

ATS Automation

Cambridge
On-site
CAD 60,000 - 100,000
30+ days ago

Tax Manager

Aylo Careers

Montreal
Hybrid
CAD 80,000 - 120,000
30+ days ago

Risk & Compliance Consultant - Southern England

Cryer Baker Recruitment Ltd.

Edmonton
On-site
GBP 40,000 - 60,000
30+ days ago

Financial Review Manager - LatAm - Amazon

CNSC

Toronto
On-site
CAD 70,000 - 110,000
30+ days ago

Recycling Operations Supervisor

Schnitzer Steel

Victoria
On-site
CAD 70,000 - 90,000
30+ days ago

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Compliance, Assistant Vice President (6 months term)
MUFG Americas
Toronto
On-site
CAD 80,000 - 100,000
Full time
30+ days ago

Job summary

A global financial institution is looking for a Compliance Manager in Toronto to handle compliance reporting, manage training, and ensure regulatory compliance across various functions. The ideal candidate should possess a Bachelor's degree in a related field and demonstrate strong analytical and communication skills. Experience in a compliance role is preferred. This is a 6-month contract position.

Qualifications

  • Completion of a Bachelor degree or Chartered Accountancy designation (CPA / ACCA / CA) or equivalent.
  • Strong computer skills, particularly in Excel.
  • Ability to manage projects and set priorities under tight deadlines.

Responsibilities

  • Manage compliance reporting requests from various stakeholders.
  • Coordinate compliance-related issues and ensure timely resolution.
  • Conduct training for compliance and financial crimes.

Skills

Proficiency in MS Office
Strong analytical skills
Excellent communication skills
Project management

Education

Bachelor degree or equivalent in Business Administration, Financial Management, Accounting, or Legal
Job description

Do you want your voice heard and your actions to count?

Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups. Across the globe, we’re 120,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world.

With a vision to be the world’s most trusted financial group, it’s part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.

Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.

*** This is a 6-month contract position ***

This position is responsible for managing local, regional and global compliance reporting. The position is also responsible for regulatory compliance management as well as managing compliance risks, including privacy risk, associated with organization's external counterparts, its activities and processes.

Key Responsibilities:

Compliance Reporting

  • Managing all reporting requests from local, regional and global stakeholders applicable for Compliance
  • Preparing reports which includes gathering information, analyze data from system, presenting the information into the required format and submitting the reports by their due date
  • Preparing user friendly reporting templates to enable users to maintain data on a recurring basis

Issues Management

  • Managing Compliance related issues, which includes coordinating with stakeholders on issue status and ensuring timely closure
  • Administrating issue management system, updating issue records, creating and closing the issues in the system
  • Preparing reports and providing status updates on existing issues

Managing Branch-wide Training

  • Assigning target audience for Core Compliance and Financial Crimes trainings
  • Analyzing overdue status and ensuring all assigned trainings are completed within their time frame
  • Preparing training completion reports
  • Administering training related issues, such as, issues faced by employees in accessing their profiles, ensuring all applicable employees are receiving their trainings, managing training exemptions in order to meet regulatory and bank wide training requirement

Regulatory Compliance Management - RCM (Resolver)

  • Administering RCM system, Resolver, adding new users to the system, providing appropriate access and communicating Resolver notifications to appropriate users, such as, filer, attester, etc.
  • Accessing reports to verify the attestation status to ensure all attestation are completed by their due date, following up with users whose attestations remain overdue
  • Performing attestation for Core Compliance related activities and regulatory requirements

Managing Compliance Committee Presentation and Report

  • Providing statistical data for Compliance Committee presentation and CCO reports
  • Communicating with stakeholders to analyze the information provided and its reasons thereof

Management of Privacy Risk

  • Performing privacy impact assessments for third parties and external counterparts
  • Analyzing different aspects of privacy risk in an engagement and determining controls to mitigate those risks
  • Staying up to date with privacy related laws and regulatory requirements to ensure regulatory compliance at all times

Risk Assessments, Review, Monitoring and Testing

  • Performing risk assessments for Compliance related activities
  • Preparing and updating working papers for the business to assist them perform their self-assessment
  • Monitoring and testing business activities, as determined to be in scope, compile results and prepare summary of testing to identify issues and potential risks
  • Managing Compliance plan and complete all related and in scope testing by the due date
  • Reviewing third party risk assessments for potential inherent risks present in third party engagements, determine controls and ensure controls are operating effectively to reduce the risk to an acceptable level
  • Coordinating with Regulators, Audit and testing teams and respond to their queries, requests for information and provide evidences to support their inspection, audit, etc.

FATCA and CRS Reporting

  • Preparing a listing of all reportable accounts based on the regulatory criteria and the information collected for the customers
  • Performing reconciliation of new and existing clients to ensure complete documentation are maintained by the business for all customers,
  • Preparing reports of FATCA and CRS reportable accounts for submission to Accounting in order for them to submit the report to the Regulator

Procedural Development and Update

  • Developing new policy / procedure documents as required and deemed necessary to formalize and document activities
  • Updating procedures by their review date and make necessary amendments to align the documents with the current business and regulatory environment
  • Keeping up to date with all effective policies, procedures and standards to ensure compliance with Organization's requirements at all times

Laws and Regulations

  • Staying up to date with all regulatory requirements applicable to Organization to maintain effective culture of Compliance

Provide support on other compliance activities as applicable including,

  • Quality Assurance and compliance monitoring processes and activities
  • Vendor risk management
  • Risk related to Code of Conduct/Conflict of Interest and managing materially non-public information

Qualifications:

  • Strong computer skills, including proficiency in MS Office products, such as, Word, PowerPoint, Visio
  • High level proficiency in Excel; Excellent communication and presentation skills with ability to interact effectively with others across the organization, including Senior Management; Strong analytical, logical reasoning and problem solving skills
  • High level skills in managing and analyzing data and be able to extract valuable information from raw data.
  • Manage projects, set priorities and work under pressure with tight deadlines
  • Ability to read, interpret and understand laws and regulations
  • Ability to work in a fast-paced environment and embrace new technologies and systems.
  • Completion of a Bachelor degree, Chartered Accountancy designation (CPA / ACCA / CA) or equivalent in the field of Business Administration, Financial Management, Accounting or Legal.
The job description and related application pertains to an opportunity with either MUFG Bank, Ltd., Canada Branch (“MUFG Bank Canada”) or MUFG Securities (Canada), Ltd. (“MUFG Securities Canada”). The job description relates to the general nature, scope, quantity and quality of work contemplated for the position. Other duties and responsibilities not specifically described may be assigned from time to time, consistent with knowledge, skills and abilities of the incumbent. The receipt of an application by either MUFG Bank Canada or MUFG Securities Canada, as applicable, does not imply or guarantee employment. Each of MUFG Bank Canada and MUFG Securities Canada is an equal opportunity employer. • As a federally regulated entity, MUFG Bank Canada is required to comply with applicable laws which prohibit discrimination based on protected grounds and which require accommodation to individuals in accordance with the requirements outlined in the Canadian Human Rights Act and the Canada Labour Code. Where MUFG Bank Canada obtains information relating to protected grounds under the Canadian Human Rights Act as part of the application process, it does so to monitor and otherwise evaluate its own compliance with such legislation and associated regulatory requirements; MUFG Bank Canada does not use such information for decision making purposes relating to the position contemplated in this application. • As a provincially regulated entity, MUFG Securities Canada is required to comply with applicable laws which prohibit discrimination based on protected grounds and which require accommodation to individuals in accordance with the requirements outlined in the Human Rights Code (Ontario) and the Employment Standards Act (Ontario). Where MUFG Securities Canada obtains information relating to protected grounds under the Human Rights Code (Ontario) as part of the application process, it does so to monitor and otherwise evaluate its own compliance with such legislation and associated regulatory requirements; MUFG Securities Canada does not use such information for decision making purposes relating to the position contemplated in this application.
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* The salary benchmark is based on the target salaries of market leaders in their relevant sectors. It is intended to serve as a guide to help Premium Members assess open positions and to help in salary negotiations. The salary benchmark is not provided directly by the company, which could be significantly higher or lower.

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