Deposits Compliance Manager
Apply NowCompany: Opentrust Consulting Inc
Location: Toronto, ON M4E 3Y1
Description:
20th August, 2024
Title: Deposits Compliance Manager
Job Type: Full-time
Location: Hybrid, 2 days per week in office in Toronto or Vancouver
Start-Date: ASAP
Must Haves:
Title: Deposits Compliance Manager
Job Type: Full-time
Location: Hybrid, 2 days per week in office in Toronto or Vancouver
Start-Date: ASAP
Must Haves:
- Highly experienced with Business Deposits
* Ideally seeking a candidate who has strong knowledge of the Bank Act, Trust & Loan Act, CDIC, OSFI, etc... - Experience implementing API's, working knowledge of API's
- Strong Agile background
- Prior experience at one of the major banks is preferred, ideally someone who has worked in B2B environments
- Seeking a senior resource who is confident in presenting proposals in front of c-suite members
- 5+ years of experience in advisory compliance in financial services (or Big 6 in the FI Compliance/Risk Advisory practice).
- At least 2 years of experience working with and partnering with Canadian regulators (ie. OSFI, FCAC, FINTRAC).
- Post-secondary education in a relevant field (i.e. Accounting, Finance, Business).
- Extensive policy writing experience particularly for new product and services.
- Knowledge of risk management frameworks.
- Strong quantitative skills and analytic ability.
- Proficient using technology and productivity tools to navigate data and conduct analyses, and able to quickly learn new systems and tools.
- Expertise in working with regulatory compliance tools, such as Resolver and network systems.
- Experience working with payments and exchange platforms, such as I2C and Cannex.
- Highly motivated, self-starter who can operate with a high degree of autonomy.
- Manages, motivates and develops direct reports through ongoing performance development.
- Manage control design, perform risk assessments and provide regulatory advisement for new lines of business.
- Monitor and manage testing activities to ensure the compliance of regulatory and operational processes and external partners (ie. KYC, Bank Act and relevant Regulatory Guidelines).
- Respond to investigation incidents/requests from the regulators, manage/lead the investigation of matters and issues to point of resolution.
- Partner, advise and educate internal business partners on compliance requirements for products and business needs in their space.
- Manage, motivate and develop 1-2 team members within a matrix organization.
- Prioritize, organize, and manage up to 100 projects and deliverables on an annual basis.