Shape the future of compliance with Connor, Clark & Lunn Financial Group as a Senior Manager in Portfolio Compliance. Lead a global team and enhance compliance controls across the firm.
In this senior leadership position, you will drive the strategic direction of the Portfolio Compliance function within the Operations Risk Group. Collaborating with key business partners, you will translate strategic plans into actionable operations, managing a team in Vancouver, Toronto, and Gurugram. Your leadership will ensure alignment and execution of best practices across multiple locations.
Key Responsibilities:
• Shape strategic direction and deliver operational model
• Oversee portfolio compliance framework and monitoring systems
• Manage the Shareholder Disclosure program integrity
• Mentor and develop a growing team of compliance professionals
• Evolve compliance policies in line with industry standards
Requirements:
• 10+ years in portfolio compliance or financial services
• Experience in people leadership across multiple locations
• CFA designation or relevant compliance qualification preferred
• Solid communication and relationship-building skills
• Proficiency in compliance systems, especially Charles River
Drive excellence in compliance and enhance the framework at Connor, Clark & Lunn Financial Group with your expertise.
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📌 Senior Manager of Portfolio Compliance Role (British Columbia)
🏢 Socket.dev
📍 British Columbia
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