Manager, Compliance, Risk and Regulatory Affairs

5 days ago


Halifax, Canada Government of Nova Scotia Full time

**Competition #**: 45108
**Department**: Finance and Treasury Board
**Location**: HALIFAX
**Type of Employment**: Permanent
**Union Status**: Exclusion - Non Union - NSPG
**Closing Date**: 12-Feb-25 (Applications are accepted until 11:59 PM Atlantic Time)
About Us
At the Department of Finance and Treasury Board, we strive to provide financial leadership, analysis and policies that strengthen Nova Scotia. As stewards of the province's financial affairs, we deliver a wide range of corporate fiscal management services - including the preparation of the provincial budget - as well as ensure government plans are coordinated and fiscally responsible. We are constantly looking for new and better ways to plan, manage, budget, and invest.
The Province of Nova Scotia is committed to offering a gaming industry that is well regulated, while providing tangible benefits and contributions to the province, its people, and good causes that are important to Nova Scotians. The Gaming and Operations Branch ensures gambling in Nova Scotia is socially responsible, while making reasonable profits for the government. In performing this role, staff oversee the gaming operators, Atlantic Lottery Corporation and Casino Nova Scotia, who carry out the day-to-day business. The Government, and ultimately the people of Nova Scotia, are the shareholders and owners of the industry.
The Branch also contributes to the Province's support of the environmental, economic and social sustainability of Nova Scotia's alcohol industry by managing programs such as the Wine and Grape Industry Development Program.
About Our Opportunity
Reporting to the Director, Finance, the Manager, Compliance, Risk and Regulatory Affairs is accountable for providing leadership and support with respect to compliance management, including maintenance or enhancement of existing compliance processes, standards and performance metrics; the identification, reporting and management of risk; and other regulatory matters. This position leads the procurement process and oversees policy development and implementation on a range of issues. They act as Compliance Officer for the Financial Transactions and Reports Analysis Centre of Canada (FINTRAC), Risk Management Officer, and supports the Department of Information Access and Privacy Services as the Freedom of Information and Protection of Privacy (FOIPOP) Coordinator for gaming-related requests.
The Manager is also responsible for monitoring legislative changes that may affect the organization and its stakeholders, which may require informing and assisting management on the development of legal documents and contracts.
Primary Accountabilities
Promote awareness of policies, legislation (statutes) and regulations related to gaming operations and ensure entity-wide compliance.
Organize and manage operational input and reporting of initiatives to ensure reporting obligations are met.
Further contractual compliance and protect Government's interests in corporate and commercial transactional matters.
Reduce the likelihood and severity of potential project risks through identification and mitigation.
Ensure the procurement process is open, fair, sustainable, consistent, transparent, effective, efficient, and competitive.
Provide support, guidance and leadership to senior management, staff and Service Providers on a variety of issues related to compliance, risk management and regulatory affairs, while supporting legal affairs with the Department of Justice.
Play an advisory role in providing guidance, regulatory interpretation, training and other assistance on appropriate standards and business practices to support operations in managing their Anti-Money Laundering (AML)/Anti-Terrorist Financing (ATF) activities.
Create and independently manage briefings, presentations, and any other required documentation to effectively report to the Audit Committee or regulators on the status of AML/ATF Compliance.
Develop and maintain policies related to compliance, procurement, AML, and risk management.
Play a lead role in managing and responding to periodic exams/audits and various regulatory bodies related to accountabilities.
Qualifications and Experience
In addition to the above, the following experience and qualifications are required:
Expertise working in a regulated environment and interpreting regulatory requirements, and the technical knowledge and skills to design and recommend a policy and monitoring framework.
Subject matter expertise of AML/ATF legislation, related regulations and guidelines (PCMLTFA, OSFI, FINTRAC) would be considered an asset.
Effective leadership skills, including the ability to give clear direction, evaluate and provide feedback.
Strong written and verbal communication with excellent interpersonal skills. You are comfortable collaborating with multiple stakeholders and capable of building positive working relationships within and outside the organization.
Strong project management skills, including the ability to se



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