As a Compliance Officer (CO), your objective is to directly conduct and provide compliance monitoring, direction, advice and support for Manulife Wealth to provide reasonable assurance that:
The dealer and its employees/agents follow securities regulatory requirements and internal policies and procedures;
The risk or reputational damage, regulatory sanction and disciplinary actions, client complaints and civil litigation is low.
Compliance violations and risk situations are actively identified, investigated and resolved or raised in an appropriate and timely manne r
The dealer's employees /agents receive high-quality, accurate and timely compliance direction, advice, support and service and employees /agents are educated on their compliance responsibilities and requirements.
You will lead head office Tier 2 compliance activities for assigned regional groups adhering to regulatory requirements (those established by securities regulations and Self-Regulatory Organizations (SRO) including CIRO as well as internal policies and procedures.
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