Join Canada Life as a Senior Compliance Advisor and leverage your compliance expertise in the financial services sector. This full time role plays a critical part in ensuring regulatory compliance within Client Operations and Business Enablement. In this senior position, you'll deliver compliance advice, assess regulatory changes, and lead issue management efforts.
You'll collaborate with various business units and legal teams to implement effective compliance programs while addressing risks proactively. Effective communication and organizational skills will be essential for presenting compliance findings and developing explicit documentation. Key Responsibilities:
Guide business units on compliance and regulatory requirements
Monitor changes and assess compliance impacts
Manage regulatory change and gap assessments
Design compliance programs and execute testing
Create reports for governance committees Requirements:
Five plus years in compliance within financial services
Robust understanding of regulatory frameworks
Proven skills in issue management and advisory services
Ability to convey compliance information clearly
Relevant compliance designation or education Utilize your skills to help Canada Life strengthen its regulatory compliance and risk management practices.