Compliance Analyst

2 days ago


Toronto, Canada Questrade Financial Group Full time

Questrade Financial Group (QFG) of Companies is committed to helping Canadians become much more financially successful and secure. We are everything a traditional financial institution is not. Our vision is to revolutionize financial services for the benefit of Canadians by providing the most innovative and cost efficient financial services online.

That’s why we empower our employees to continuously grow their professional careers with QFG. We believe in having a diverse, inclusive place to work and our flexible working arrangements brings that to life so you can unleash your creativity. Our values are a part of our DNA, and we care deeply about our people helping us fulfill our mission and become an important part of our community. We are always looking for like-minded professionals to join our team. Come grow with us.

**Our goal is simple**: do the right thing.
Our Compliance department implements a compliance regime and supervisor systems to ensure compliance with all the rules, regulations, policies and legislation applicable to Questrade’s business. This department is responsible for reporting to management and the board of directors on Questrade’s level of compliance and for overall oversight of supervision functions to make sure we are always doing the right things. They’re passionate and committed

And where does the Compliance Analyst fit into this?
The purpose of the Compliance Analyst is to assist with the supervision of client and account activity including conducting trade surveillance on equities, fixed income and OTC derivative activity. The Compliance Analyst also supports various regulatory reporting processes and assists other compliance programs as required.

What’s it like working as a Compliance Analyst at Questrade?
The Compliance Analyst must adhere to applicable regulation as well as all aspects of Questrade’s policies and procedures.

Need more details? Keep reading...
You will be responsible for performing day-to-day compliance monitoring and testing associated with Questrade’s Compliance program including: Trade Surveillance, Trade Desk Audits, and Regulatory Reporting. You will monitor and assess compliance by Questrade, staff, and clients. You will perform other duties, as assigned, to assist in all areas of compliance at Questrade.

You will become familiarized with IIROC rules and all other related laws and regulations. You will develop a clear understanding of compliance standards required. You will adhere to Questrade’s compliance policies and procedures. You will learn to investigate cases and perform initial case analysis to support senior compliance staff. You will become proficient in Questrade’s data management and trading systems. You will provide support and guidance to other departments on compliance matters. You will fulfill reporting obligations to various regulators. You will support other compliance programs at Questrade as required.

So are YOU our next Compliance Analyst? You are if
✔ You have 1-2 years previous experience at an IIROC member firm or registered Portfolio Management firm
✔ You have completed a 4 year post-secondary degree
✔ You are proficient in Microsoft Office (Word, Excel, Access), Standard Query Language (SQL), and G Suite
✔ You have exceptional verbal and communication skills with the ability to communicate to all audiences in a clear and compelling manner
✔ You have strong organization and time management skills
✔ You have high ethical standards and integrity
✔ You have natural curiosity and drive to learn

Brownie points if
✔ You have previous compliance experience
✔ You have knowledge of various financial products including equities, options & other derivatives

**✔ You have completed any of the following CSI courses**:

- Canadian Securities Course (CSC)
- Conduct and Practice Handbook Course (CPH)
- Derivatives Fundamentals and Options Licensing (DFOL)
- Futures Licensing Course (FLC)

Sounds like you? Click below to apply
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