Vice President and Chief Compliance Officer
6 days ago
WHO WE ARE
HomeEquity Bank is a Schedule 1 Canadian chartered bank and the leading national provider of reverse mortgages, with a growing portfolio. As the only bank solely dedicated to serving homeowners 55 and up, we’re passionate about helping Canadian homeowners live retirement on their terms. We live that commitment every day, with a range of reverse mortgage solutions that include our flagship CHIP Reverse Mortgage product.
OUR VALUES, OUR PASSION
At HomeEquity Bank, our values drive and inspire our actions with our customers, our partners and each other.
- Customer-Focused. Passionate Advocates
- Courage to Act. Do the Right Thing
- One Team. One Vision
- Think Long-Term. Ever-Evolving
- Be Exceptional. Inspire Greatness
The role is responsible for overall leadership and direction of the compliance programs at HomeEquity Bank, overseeing managing the bank’s Regulatory Compliance Management (RCM) Framework and ensuring that the bank adheres to all relevant legal and regulatory requirements.
The Vice President, Chief Compliance Officer will take a risk-based approach to regulatory compliance risk management by ensuring the bank maintains an effective compliance risk management and internal controls program, including independent monitoring and testing of key regulatory compliance controls. This provides reasonable assurance to senior management and the Board of Directors of the effectiveness of the compliance program.
The role also serves as the Chief Anti-Money Laundering Officer (CAMLO), ensuring a comprehensive program for complying with all applicable AML regulations and the Chief Privacy Officer, managing an appropriate privacy program for ensuring compliance with associated regulations.
MAJOR ELEMENTS OF THE ROLE
**Key accountabilities of this position include**:
- Ensure the Regulatory Compliance Management (RCM) Framework is designed and implemented in a manner which ensures regulatory compliance risk is adequately managed.
- Assess the adequacy and effectiveness of the bank’s regulatory compliance controls and providing an independent opinion to senior management and the Board of Directors based on the independent monitoring and testing performed.
- Report material information from RCM Assessment and independent monitoring and testing, including reporting on compliance issues and emerging risks.
- Work with multiple internal stakeholders across the Business Lines and Corporate Functions to help foster an appropriate risk culture with respect to Compliance Risk Management. This includes periodic meetings with key Executives for information sharing and pro-active discussion of key compliance matters.
- Manage a team of Compliance professionals with the skills and experience required to enable an effective 2nd line of defense program
- Maintain policies and procedures to reasonably ensure compliance with applicable regulatory requirements. Key regulators for this role include the FCAC, FINTRAC and OSFI.
- Develop an appropriate Compliance Risk Appetite and KPI’s and KRI’s as part of the Bank’s Enterprise Risk Management Framework.
- Regularly assess the inherent compliance risk of business units as well as the effectiveness of mitigating controls in order to minimize the residual risk of reputational damage and regulatory consequences. Build the compliance risk assessment methodologies in line with industry practice and evolving regulatory expectations.
- Communicate new regulatory requirements to impacted business and control functions and work collaboratively to ensure compliance including in projects launched for material changes or new regulations.
- Coordinate compliance regulatory examinations and participate in the coordination of responses to these examinations.
- Provide regular training to staff and specialized role-based training, as needed to address regulatory compliance requirements and issues.
- Provide reporting and updates, at least semi-annually, to the Board or its Committees, the CEO and Senior Management an opinion on the state of the Bank’s regulatory compliance; this includes compliance issues, progress towards remediation of identified gaps, the adequacy of resources directed toward regulatory compliance risk management across the Bank, and any material information derived from independent monitoring and testing to assist the Board oversee the RCM Framework.
- Provide periodic impactful risk reports to the Chief Risk Officer and at the Regulatory Risk Management Committees with respect to material regulatory issues, changes and risk profile.
- Act as the key liaison and build relationships with applicable regulators in Canada for ensuring robust two-way communication on key regulatory themes and the risk profile.
In addition to the overall accountabilities, the following are specific accountabilities in the role as CAMLO and CPO.
Chief Anti-Money Laundering Officer (CAMLO)
- Provide updates to CRRMC on the effectiveness of the Bank’s AML/ATF Framework.
- Promote money l
-
Vice-President and Chief Compliance Officer
2 weeks ago
Toronto, Canada IA Financial Group Full timeVice-President and Chief Compliance Officer (CCO) IA Financial Group•Toronto, ON, United States Description As Vice-President and Chief Compliance Officer, you will be responsible for the evolution of the organization’s compliance and regulatory risk management strategy to maintain a culture of compliance throughout the organization. Reporting to the...
-
Vice-President and Chief Compliance Officer
2 weeks ago
Toronto, Canada IA Financial Group Full timeVice-President and Chief Compliance Officer (CCO) IA Financial Group•Toronto, ON, United States Description As Vice-President and Chief Compliance Officer, you will be responsible for the evolution of the organization’s compliance and regulatory risk management strategy to maintain a culture of compliance throughout the organization. Reporting to the...
-
Compliance - Assistant Vice President
2 weeks ago
Toronto, Canada MUFG Full time**Compliance - Assistant Vice President** Job Summary** The Assistant Vice President will support the Vice Presidentin overseeing the development and execution of a comprehensive compliance andAML/ATF framework that identifies, assesses and addresses all regulatory andlegislative compliance risks, developing and implementing programs relating tothe assets,...
-
Vice President, Hospital Finance
4 weeks ago
Toronto, Canada Baycrest Full timeVice President, Hospital Finance and Chief Financial Officer (CFO) Baycrest is a globally recognized leader in the field of aging, offering a unique and rewarding opportunity to be part of an organization that is dedicated to improving the lives of older adults. As a comprehensive academic health sciences centre, Baycrest provides a full spectrum of care,...
-
Vice President
1 week ago
Toronto, Canada Scotiabank Full timeRequisition ID: 212930 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. **Position: Vice President and Chief Learning Officer** **Purpose** - Provides strategic direction, leadership and oversight for Global Learning strategy, building future-focused, innovative and best in class learning solutions that...
-
Chief Compliance
2 weeks ago
Toronto, Canada IA Financial Group Full timeA financial services organization based in Toronto is seeking a Vice-President and Chief Compliance Officer to lead its compliance strategy. The ideal candidate will have over 10 years of experience in the financial sector, with proven leadership in compliance and regulatory risk management. This role requires strong interpersonal skills and the ability to...
-
Chief Compliance
2 weeks ago
Toronto, Canada IA Financial Group Full timeA financial services organization based in Toronto is seeking a Vice-President and Chief Compliance Officer to lead its compliance strategy. The ideal candidate will have over 10 years of experience in the financial sector, with proven leadership in compliance and regulatory risk management. This role requires strong interpersonal skills and the ability to...
-
Assistant Chief Compliance Officer
3 weeks ago
Toronto, ON, Canada Empire Life Full timeAssistant Chief Compliance Officer- Empire Life Investments Inc. The Assistant Chief Compliance Officer (ACCO) for Empire Life Investments Inc. will report directly to the Chief Compliance Officer (CCO) and be positioned as the named successor to the CCO role. The ACCO will work closely with the CCO to support and develop the firm’s compliance program,...
-
Assistant Chief Compliance Officer
3 weeks ago
Toronto, ON, Canada Empire Life Full timeAssistant Chief Compliance Officer- Empire Life Investments Inc. The Assistant Chief Compliance Officer (ACCO) for Empire Life Investments Inc. will report directly to the Chief Compliance Officer (CCO) and be positioned as the named successor to the CCO role. The ACCO will work closely with the CCO to support and develop the firm’s compliance program,...
-
Assistant Chief Compliance Officer
4 weeks ago
Toronto, ON, Canada Empire Life Full timeAssistant Chief Compliance Officer- Empire Life Investments Inc. The Assistant Chief Compliance Officer (ACCO) for Empire Life Investments Inc. will report directly to the Chief Compliance Officer (CCO) and be positioned as the named successor to the CCO role. The ACCO will work closely with the CCO to support and develop the firm’s compliance program,...