Compliance Specialist
Location(s): Georgia Business Centre
Job Type: Full Time
myWork Options: In-person, Hybrid
Starting Salary Range: $63,300-$75,900
Background Screening Requirement:
- Enhanced Criminal Record Check
- Credit Check
- Employment Verification
- References
What’s the job?
We’re looking for a Compliance Specialist to join our team and help protect against risks relating to regulatory compliance. The Compliance Specialist is responsible for working in the day to day compliance function of the Investment Compliance team and is focused primarily on regulatory duties for the CCS mutual fund dealer and partner, Worldsource Financial Management (WFM).
What you’ll get to do:
- Daily review and approval of new accounts as required by regulation.
- Daily review and approval of mutual fund and segregated fund transactions as required by regulation.
- Conduct and/or assist in the branch examinations.
- Design & contribute to various daily reports as required.
- Ensure all transactions are suitable for each mutual fund and segregated fund customer.
- Recognize non-compliance and/or areas of risk and provide recommendations to the Manager, Investment Compliance.
- Provide professional daily supervision and compliance advice to registered Advisors
- Assist in compliance-related mutual fund Advisor training and Registration,
- Assist in departmental projects and procedure development.
- Present Compliance regulatory updates and training in-person or via webinars.
Who are we looking for?
- A minimum of 4 years of job-related experience including 2 years' experience as a current- registered Mutual Fund Advisor.
- Must have 2 years current experience registered as a Mutual Fund (CSC preferred course) or securities advisor with CIRO (MFDA or IIROC)
- Completion of CPH course highly advantageous.
- High School Diploma plus some additional post-secondary courses.
- Must have the necessary requirements to immediately be registered as a mutual fund advisor.
- Currently registered as a Mutual Fund Branch Compliance Manager.
- Completion of the Life Licensing Qualification Program (LLQP) a definite asset.
Equity, Diversity & Inclusion at Coast Capital
Don’t meet every single requirement? At Coast Capital, we believe everyone has potential. We are committed to building better, brighter, more inclusive futures for everyone – including our employees. We see the potential in our employees to achieve amazing things and want to invest in your future. If you’re excited about this career opportunity and your experience may not perfectly align with every qualification in this job posting, we still encourage you to apply. You may be just the right candidate for this or other opportunities at Coast Capital.
At Coast Capital, we are committed to equity, diversity and inclusion. We strongly encourage applications from Indigenous Peoples, Black, and racialized persons, persons with disabilities, people of diverse sexual and gender identities and women. We value applicants who have demonstrated a commitment to equity, diversity and inclusion and recognize that diverse perspectives, experiences and expertise benefit of our employees, our members, and our community.
We strive to provide an accessible candidate experience for our candidates with different abilities. If you require any accommodations, please contact accessibility@coastcapitalsavings.com or call 778-391-5836. We will work with you to meet your needs.