Compliance Officer
Skyline Group of Companies Voir toutes les offres
- Oakville, ON
- 65.000 $ par an
- Permanent
- Temps-plein
- Apply policies and regulatory rules appropriately to respond to compliance related inquiries from the Wealth Management team.
- Assist in the creation and implementation of new and amended policies and procedures for compliance initiatives and controls, ensuring applicable securities laws and National Instruments are adhered to.
- Monitor compliance and individuals acting on its behalf, with applicable securities legislation.
- Perform all trade reviews.
- Monitor KYC/KYP suitability and other rules by reviewing applications and trade activity.
- Maintain registration for the firm and its registrants.
- Assist with departmental and enterprise initiatives as required.
- Strong oral and written communication skills in English.
- Problem solving skills necessary to resolve routine and non-routine compliance issues.
- A positive attitude! You can handle any problem with optimism.
- Minimum 2 years compliance and/or investment experience with an exempt market dealer.
- Completed Canadian Securities Course, Exempt Market Proficiency Course or equivalent, or in progress of completion.
- You get a thrill from staying organized and details are your “thing”.
- You believe in following the rules and mistakes never get by you.
- You get excited about providing superior customer service and from knowing that you positively impact people’s lives every day.
- Being that person who can see the problems before they happen (think the matrix) and use good judgment and innovation to solve it is your specialty.
- You want to work for a company that supports work-life balance and truly cares that you are happy.
- Working for a growing company that supports environmental stewardship and social responsibilities is a must for you. Learn more about our sustainability commitments
Nous sommes désolés mais ce recruteur n'accepte pas les candidatures en provenance de l'étranger.