
Compliance - Assistant Vice President
- Toronto, ON
- Permanent
- Temps-plein
- Assist in the development, implementation, communication, maintenance and monitoring of compliance policies and procedures to ensure adherence to securities regulations (e.g., Ontario Securities Act, NI 31-103, NI 45-106, NI 81-106).
- Foster a culture of compliance across the organization.
- Establish strong working relationships with business partners and other stakeholders.
- Effectively collaborate with various departments, within iCapital, to ensure alignment on compliance issues.
- Liaise with external parties and internal stakeholders for compliance-related matters and corporate governance.
- Support the preparation and filing of regulatory reports, including 45-106F1s, capital market participation fee filings, and other filings.
- Manage the Canada Compliance Calendar and ensure that all due dates and responsible individuals or parties are held accountable.
- Support regulatory audits, inquiries, and inspections by securities regulators, as required.
- Monitor and track regulatory developments and update internal policies accordingly.
- Assist with compliance training and attestations for employees, ensuring ongoing awareness of regulatory requirements and ethical standards.
- Coordinate and organize board meetings, including preparation of packages and minutes.
- Maintain compliance records and support the management of regulatory filings, certifications, and other compliance-related documents.
- Contribute to the implementation and continuous improvement of programs, processes, policies, and tools to meet or exceed regulatory requirements, industry best practices, and/or achieve organizational goals.
- Support the Canada Legal and Compliance team overall and provide back-up for the other members of the iCapital team.
- Prepare accurate and comprehensive minutes for the Board of Directors, Investment Committee meetings and assist with other corporate governance responsibilities, including maintaining records, coordinating board materials, and supporting governance-related initiatives.
- 3+ years of experience of senior compliance, business controls, operations and regulatory experience with an investment fund manager, portfolio manager and exempt market dealer entity regulated by the Canadian securities authorities
- Compliance expertise in the private fund and investment management space
- Experience with regulatory filings is an asset
- Excellent analytical skills, attention to detail, and ability to interpret regulatory requirements
- Adaptable and entrepreneurial, able to work within the fast-paced, growing and constantly evolving structure of a high-growth company
- Strong written and verbal communication skills
- Able to manage multiple tasks, meet deadlines, and work independently or as part of a team
- Strong computer skills, including MS Suite - Word, Excel, and PowerPoint, DocuSign, etc
- Native-level English communication for collaboration with head office and external, international stakeholders and suppliers