As a Federally Chartered Bank and Federally and Provincially regulated Trust Company, Manulife Bank and Manulife Trust ("Manulife Bank") are subject to numerous legislative requirements including the Bank Act , the Trust and Loans Company Act , the Proceeds of Crime (Money Laundering) and Terrorist Financing Act and the Personal Information Protection and Electronics Document Act , among others.
Reporting into the Director of Regulatory Compliance, the Compliance Consultant, Regulatory Compliance, is responsible for helping support the effective operation of Manulife Bank's Regulatory Compliance program, including the maintenance of all relevant regulatory compliance management records, risk and control assessments, evidence of controls and providing of effective challenge.
The Compliance Consultant, Regulatory Compliance is an experienced professional with expertise in reviewing and interpretating legislation and documenting requirements in plain language. The Compliance Consultant must also have experience working with regulators and have an understanding of Bank industry issues impacting the business units of the Bank.
In addition to the Bank Compliance team, this role interacts with senior leaders, our Legal department and broader compliance teams.
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