Examiner

2 weeks ago


Vancouver, Canada BCFSA Full time

**Job Description**:
The BC Financial Services Authority (BCFSA) protects British Columbians during their most important financial transactions. We regulate BC ’s financial services market, including credit unions, trust companies, registered pension plans, insurance companies and mortgage brokers.

We uphold public confidence by impartially setting and enforcing standards for real estate professionals. We also ensure that consumers dealing with licensed real estate professionals are protected against wrongful actions. By overseeing the most significant financial transactions in BC we ensure fairness, legality and the prosperity of consumers and the province.

We recognize unique styles, perspectives, beliefs, and creativity that support a diverse, respectful, inclusive and collaborative work environment. To achieve this, we stay committed to:
Hiring team members who represent the population we serve
Removing barriers that may prevent equitable employment
Supporting respectful work environments where everyone feels included and able to produce excellent results

BCFSA is proud to be Great Place to Work Certified organization based on direct feedback from our team members.

**WHAT WE OFFER**:
Healthy living and work-life balance
Comprehensive health and wellness benefits plan
Opportunities for personal and professional development
Competitive compensation
A challenging and engaging team environment
Defined benefits pension plan
Flexible work arrangement for eligible positions
A beautiful office location in downtown Vancouver

**SUMMARY**
The position is responsible for conducting examinations (audits) of mortgage brokers to assess compliance with regulatory requirements.

**ACCOUNTABILITIES**
- Identifies and recommends registrants for proactive examination.
- Conducts examinations to determine compliance in accordance with examination plans, audit procedures and legislative requirements.
- Prepares written reports based on examination results that may include recommendations to address weaknesses, take proactive regulatory action, and improve policies, procedures, practices and legislation.
- Identifies instances of material misconduct warranting potential escalation to an investigator.
- Testifies at regulatory, tribunal, and other hearings.
- Contributes to the team’s development of internal work practices (e.g., policies, procedures and tools).
- Provides orientation and training to internal and/or external stakeholders within area of responsibility.
- Contributes to, participates in, and supports organizational business transformation initiatives.

**JOB REQUIREMENTS**
- Degree in business, public administration, or accounting and some years of related experience or, an equivalent combination of education and experience.

Related experience includes:

- mortgage industry (submortgage broker, mortgage specialist, compliance officer)
- audit and/or compliance functions
- researching and responding to complaints and enquiries

Preference may be given to applicants with experience in the mortgage broker industry.
- Knowledge of relevant legislation, regulations and/or policies governing the regulatory program or similar regulatory programs.
- Knowledge of mortgage broker or mortgage lending industry business practices and structures.
- Ability to exercise judgement, initiative, and discretion.
- Ability to influence compliance with legislation, regulation, and policy.
- Superior oral and written communication skills.

**PROVISOS



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