TD Description
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Department Overview
The Global Compliance Department is responsible for overseeing Regulatory Compliance across TD Bank Group (TD) in accordance with the Global Compliance Operating Framework. Compliance is responsible for developing and maintaining the processes by which Businesses are made aware of the legislation and regulation, under which they are governed, as well as compliance trends, emerging risk areas and regulatory changes.
Wealth Compliance works pro-actively with the divisions of TD Waterhouse Canada Inc. (TD Direct Investing, TD Wealth Financial Planning and TD Wealth Private Investment Advice), TD Asset Management Inc. (Portfolio Manager, Investment Fund Manager and Exempt Market Dealer), TD Wealth Private Wealth Management (TD Wealth Private Investment Counsel, TD Wealth Private Trust, TD Wealth Private Banking and TD Waterhouse Insurance Services Inc.), and various other departments within TD that provide support to these businesses. We ensure regulatory compliance; protect the interests of the firm, its employees and clients while supporting the sales and productivity objectives of our business partners.
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