Wealth Compliance Advisor - C$84,000 - C$115,500 A Year (Winnipeg)

Wealth Compliance Advisor - C$84,000 - C$115,500 A Year (Winnipeg)

27 Aug
|
Richardson Wealth
|
Winnipeg

27 Aug

Richardson Wealth

Winnipeg

Job DescriptionPosted Monday, February 2, 2026 at 5:00 a.M.About UsAs a leading Canadian wealth management organization, Richardson Wealth offers the personal touch of a boutique firm while delivering big results. With offices across the country, we are home to some of Canada’s best investment advisors. We’ve embarked on an exciting growth phase – a multi-year transformational journey to enhance our entrepreneurial, high‑performing, advisor‑centric culture.Position OverviewThe WCA is a resource for the Branch Management Team and Advisor teams regarding industry regulations, requirements and best practices. This role is part of a centralized supervision team, reporting into National Sales. The WCA is accountable to ensure that the region meets all its compliance requirements as the delegate for compliance and risk operations. This role is also accountable to provide advice and guidance on Compliance‑related policies, processes and other key execution activities to the branch management teams within the region.The WCA plays an important role in supporting the development of risk mitigating measures, controls, independent challenges and adequate remediation plans. By ensuring strong compliance execution and risk management in the region, the WCA assists in enhancing the profitability, client experience and reputation of Richardson Wealth. The right candidate will excel in the areas of supervision and can effectively communicate and coach IA Teams and Associates.Duties and ResponsibilitiesSupport escalations and resolution on issues driven out of the daily and monthly tier‑one account activity of clients, and employeesReview & approval of all recent account documentation for suitabilityExecution of Trading correction review and approvalsConduct of email surveillance and social media reviewsConduct New Issues/Private Placement/Syndication process approvalsOffer guidance on compliance policy and procedure and support to advisors and their team membersEffectively communicate concerns or requirements and ensure that IA teams are following company and regulatory policies and proceduresBuild effective relationships with internal stakeholders. Liaise with various departments (i.E. Operations, Compliance, Human Resources, Marketing, Products and Services, IT and Credit)



on Compliance related issues where requiredReview advisor marketing practices and collaborate with the Marketing team to ensure proper approvalsWork with Branch Manager &/or Assistant Branch Manager to manage complaints, while working with Risk & Compliance along with Legal to resolveFacilitate and participate in regular conversations with Branch Managers, National Sales, and Chief Risk Officer to share information and discuss common compliance‑related issues/concernsPlay a key leadership role in helping to train, develop and enforce policy/procedure for compliance within the region to ensure alignment with firm strategyCommunicate effectively within the region to ensure the strength and effectiveness of compliance and adoption of policies, processes at the branch level and develop action plans to improve compliance and overall compliance review resultsAct as 1st level point of escalation for compliance issues, escalating to ABM and BM when applicableParticipate in audits and compliance reviews as assigned and conduct follow up and coaching as required.Apply expertise and think creatively to address unique or ambiguous situations and work with key internal stakeholders to find solutions to problems that can be complex and non‑routine.Develop and maintain front office process and procedures database, ensuring documentation is accurate, accessible, and aligned with operational standards.Collaborate on cross‑functional project teams, contributing insights, tracking deliverables, and supporting successful implementation of initiatives.Provide specialized support for complex accounts, including compliance reviews, marketing oversight, trade corrections, and email surveillance to ensure adherence to regulatory and firm policies.Support onboarding and training for new recruits, assisting with account approvals, system navigation, and procedural education to promote a smooth transition into the organization.QualificationsExcellent communication skills – written and oralIn‑depth relationship management skills, including problem solving, mediation and leadership.Strong attention to detail and analytical skills,



meticulous with the ability to prioritize and solve problems.5‑10 years of experience in Compliance or related experience at a CIRO regulated investment dealerProficiency with Dataphile is an assetProficiency with CRM System (Sales Force) is an assetProficiency with PortfolioAid is an assetProficient with Microsoft Office SuiteExercise good judgment of regulations and supervisory issuesAbility to be proactive and communicate change in a fast‑paced industryTravel may be requiredEducationPost‑secondary degree preferredCompletion of Derivatives Fundamentals Course (DFC), Options Licensing Course (OLC), and Branch Managers Course (BMC)/Investment Dealer Supervisor Course (IDSC)Completion of or working towards Option Supervisor Course (OPSC)Licensed as Investment Representative or Registered Representative (RR) and Supervisor with CIROThorough knowledge of administrative policies and procedures is an asset, namely, Operations; Human Resources; Compliance; Documentation; Finance; Commissions; RegistrationsSalary and BenefitsThe expected annualized base salary range for this role is $84,000-$115,500. The actual salary offered will take into consideration a wide array of factors including, but not limited to, the individual’s skill, experience, education and training, and the consideration of internal equity.Richardson offers a competitive total rewards package in addition to the base pay (where applicable), which includes a performance‑based incentive plan, comprehensive health & dental benefits, a group RRSP matching plan and paid time off.Why ApplyOur firm is only as good as the people who work here. Our employees are exceptional because they combine in‑depth expertise with enthusiasm, and empathy. From our front office talent to our colleagues behind the scenes, we have one focus: to ensure our people thrive here more than anywhere else. Are you innovative, self‑driven, and client‑centric?If so, we’re ready to invest in you.Equal Opportunity StatementRichardson Wealth is an equal opportunity employer and committed to providing a diverse, equitable and inclusive environment. We are happy to meet your individual needs in keeping with the Canadian Charter of Rights and Freedoms and the Accessibility for Ontarians with Disabilities Act. Candidates may request accommodation at any point during the interview process.#J-18808-Ljbffr

📌 Wealth Compliance Advisor - C$84,000 - C$115,500 A Year (Winnipeg)
🏢 Richardson Wealth
📍 Winnipeg

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