Description
As a Senior Legal Advisor within the Operational Compliance team, you act as a compliance expert supporting the sectors of the Investment Operations Group. This role allows you to have a tangible impact on governance by ensuring regulatory standards are met, implementing industry best practices, and influencing strategic decisions.
Joining our team means contributing to large-scale projects, growing in a stimulating and collaborative environment, and making a real difference in compliance governance.
Your Role
We promote a variety of continuous learning approaches to support your development, including hands-on learning, accessible training content, and collaborative work with colleagues from diverse areas of expertise.
Prerequisites
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Joining our team means contributing to large-scale projects, growing in a stimulating and collaborative environment, and making a real difference in compliance governance.
Your Role
- Ensure the effective application of compliance policies in supported sectors through projects, targeted reviews, and specific cases.
- Act as an expert with government authorities regarding registered plans, and address complex regulatory issues.
- Lead process changes related to compliance, anticipating their impact on future operations.
- Chair governance committees involving partners and compliance, and represent the organization in industry forums.
- Proactively monitor regulatory developments, maintain up-to-date requirements, and communicate compliance obligations to teams.
- Provide strategic recommendations during the implementation of new processes to ensure regulatory compliance and operational efficiency.
- Support teams during internal and external audits, ensuring consistency and rigor in compliance practices.
We promote a variety of continuous learning approaches to support your development, including hands-on learning, accessible training content, and collaborative work with colleagues from diverse areas of expertise.
Prerequisites
- A completed Bachelor’s degree in a related field and at least 6 years of relevant experience, or a completed Master’s degree and at least 4 years of relevant experience
- Member in good standing of the Chambre des notaires du Québec or the Barreau du Québec
- Strong knowledge of wealth management compliance requirements, including AML/ATF, and relevant experience in compliance
- Excellent skills in analysis, influence, and communication