Senior Compliance Officer, Product Risk

2 days ago


Montreal administrative region, Canada Raymond James Financial Full time

Job Description - Senior Compliance Officer, Product Risk - 12 Month Contract (2600047) Senior Compliance Officer, Product Risk - 12 Month Contract - 2600047 At Raymond James, we develop, we collaborate, we decide, we deliver, and we improve together Raymond James Ltd. is Canada’s leading independent investment dealers offering high quality investment products and services to Canadians seeking customized solutions to their wealth management needs. Senior Compliance Officer, Product Risk - 12 Month Contract How does the role impact the organization? Raymond James Ltd. is Canada’s leading full-service independent investment dealer, providing high quality investment products and services to Canadians seeking customized solutions. We are seeking a highly qualified Senior Compliance Officer to join our team.

In this role, you will play a critical part in ensuring the firm’s compliance with industry regulations and internal policies. Your key responsibilities include performing day-to-day tasks related to product and security risk, maintaining compliance standards, and supporting departmental reporting, and providing guidance through our compliance help desk. What will your role be responsible for? Product and Security Risk Execute daily responsibilities related to product and security risk in accordance with internal policies and established frameworks.

Conduct periodic adjustments, override reviews, and assist the Manager or Senior Manager with refinements to risk frameworks, rating logic, and breakpoints. Provide compliance monitoring for exempt funds, non-brokered private placements, structured notes, broker warrants, and other products, including ad hoc reviews as requested. Maintain data feeds and manage onboarding processes for new products. Perform annual and ongoing risk assessments for Separately Managed Accounts (SMAs), Pooled Funds, and other investment products Reporting, Audits and Risk Assessments Assist the Manager or Senior Manager in preparing reports for management meetings, operating groups, and board presentations.

Support compliance risk assessments, audits, and regulatory examinations. Contribute to policy and procedure development, regulatory summaries, analytical projects, compliance presentations, and filing requirements with regulatory bodies such as the BCSC and OSC. Security Risk Monitoring, Suitability Assessment and Portfolio Supervision Conduct security risk rating analysis and adjustments, Know Your Product (KYP) assessments, and product risk evaluations. Perform transaction monitoring, option reviews, suitability assessments, and approvals.

Review of Net Asset Value (NAV) calculations, marketing materials, and performance reports to ensure compliance. Provide support for advice and preapproval requests from Associate Portfolio Managers, Solus Trust, and the Charitable Foundation. Approve trade corrections, marketing requests, and new account applications. Help Desk, Support and Training Respond to inquiries related to risk ratings, product compliance, asset allocation, suitability, KYP, portfolio compliance, performance returns, marketing, new accounts, NAV reviews, and other requests directed to the compliance group.

Provide investigative support for compliance projects and respond to branch inquiries. Deliver training and guidance to team members, Compliance Officers, branch staff, and associates. Additional Duties Perform other responsibilities as assigned by the Manager, Senior Manager, or Vice President. What can you expect from us?

Our most important investment is in people. Upon eligibility, Raymond James Ltd offers flexible workstyles, a competitive compensation and benefits package. Our benefits range from Health Benefits, RRSP Matching Program, Employee Stock Purchase Plan, Paid Time Off, Volunteer Days, Discretionary Bonuses, Tuition Reimbursement and many more We also support internal promotion and community involvement. What do we expect from you?

To qualify for this opportunity you possess: Minimum of 5 years of compliance experience within the securities industry. Successful completion of the Branch Manager or Investment Dealer Supervisors Course (IDSC) or equivalent, with eligibility for CIRO registration as Supervisor and Registered Representative. Commitment to completing the Chartered Investment Manager (CIM) designation. Proficiency in spreadsheets and Dataphile systems.

Strong analytical, communication, and interpersonal skills. Ability to work independently and collaboratively in a team environment. Proven customer service skills and the ability to manage multiple priorities under pressure. Post-secondary diploma or degree; and We encourage our associates at all levels to: Grow professionally and inspire others to do the same Work with and through others to achieve desired outcomes Make prompt, pragmatic choices and act with the client in mind Take ownership and hold themselves and others accountable for delivering results that matter Contribute to the continuous evolution of the firm Salary Range: $80,000-100,000 annually, in addition to competitive performance bonuses/incentives.

Actual compensation will be determined based on skills, experience, internal equity, and other job requirements. This posting is for an existing vacancy. At Raymond James – we honor, value, respect the uniqueness, experiences, and backgrounds of all of our Associates. When associates bring their best authentic self, our organization, clients and communities thrive, it is part of our people-first culture.

The Company is an equal opportunity employer and makes all employment decisions on the basis of merit and business needs. Here at Raymond James we demonstrate our commitment to ensuring equal opportunities for all candidates. To request accommodations, candidates are instructed to contact Human Resources via email at recruitment@raymondjames.ca . By reaching out to this email address, candidates can communicate their specific requirements and discuss the necessary accommodations they may need to participate fully in the recruitment process.

We may use automated or AI-enabled tools to support parts of our recruitmentand screening process, including screening, assessing or selecting applicants where applicable. These tools help us review applications efficiently,but they donot replace human decision-making. Raymond James Ltd. is a member of the Investment IndustryRegulatory Organization of Canada (IIROC) and of the Canadian Investor ProtectionFund (CIPF). Customers’ accounts are protected by the Canadian Investor ProtectionFund within specified limits.

A brochure describing the nature and limits ofcoverage is available upon request or at . 3Macs, MacDougall,MacDougall & MacTier and Raymond James Correspondent Services are divisions ofRaymond James Ltd. Raymond James Ltd. is an integrated financial services firm. Itssubsidiaries, Raymond James Investment Counsel Ltd., Raymond James FinancialPlanning Ltd., Raymond James Trust (Canada) and Raymond James Trust (Québec) Ltd.are not members of the IIROC or the CIPF. Please consult each subsidiary’s webpagesfor applicable corporate, regulatory or membership information.www.cipf.ca #J-18808-Ljbffr


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