Director, Compliance - Global Asset Management
馃嚚馃嚘RBC
Job Description
Job Description What is the opportunity? The Director, Compliance is a leader within the regulatory compliance team that is responsible for compliance oversight and advisory support for RBC Global Asset Management (RBC GAM) in Canada which includes an institutional asset management division, investment fund manager, exempt market dealer, and mutual fund dealer. Reporting into, and working closely with, the Managing Director, Compliance & CCO, this role is instrumental in the overall management and success of the team, leading the team鈥檚 operations, including ensuring the team delivers its strategic objectives and initiatives, executes its ongoing responsibilities with RBC GAM and Enterprise Compliance, and fulfill its reporting and second line of defense Regulatory Compliance Management (RCM) obligations. What will you do? Support the CCO and team in executing strategic objectives, lead /complete key team initiatives and projects, drive organizational readiness and operational efficiency, and deliver on the team鈥檚 ongoing responsibilities and reporting obligations. Responsible for certain key compliance activities and associated responsibilities such as: Head office and employee conduct compliance, registrations and compliance training Activities that require active interaction and coordination with central compliance functions including Enterprise policy, regulatory change, central testing, AML, economic sanctions, securities reporting, accessibility, and privacy Cross segment and cross border initiatives including with respect to policy, distribution of investment capabilities, and trading, including in the US and UK. RCM, including risk assessments, controls documentation process, monitoring and testing, issue management, and reporting Provide input on proposed or new regulatory initiatives, actively participate in internal / external working groups and committees where your expertise adds value, advise the business on impact of new regulatory initiatives on their activities, and work with stakeholders to develop internal controls, policies and procedures, communications, and guidance. Assist in the day-to-day management of team members based in Toronto and Vancouver, including coaching, training, clear goal setting and tracking, thoughtful distribution of work to create development opportunities, and clear articulation of expectations to continuously meet team priorities. Develop key partnerships and foster collaborative and effective relationships with Law Group, other Compliance/Functional groups within RBC, and with RBC GAM leadership and staff. Work with the CCO and the team to identify and anticipate trends, escalate emerging risks, understand new business initiatives and evolving compliance requirements. What do you need to succeed? Must have Undergraduate Degree in Business, Finance, Law or related professional designation 7 years of progressive experience in compliance management, advisory and operations, preferrable for a large, comp
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