Compliance Specialist- Monitoring & Testing (Vancouver)

Compliance Specialist- Monitoring & Testing (Vancouver)

03 Oct
|
Family Innovation
|
Vancouver

03 Oct

Family Innovation

Vancouver

Family Innovation Corp. (FIC) is a multi-family office providing multiple services, including estate planning, risk management, financial counsel, trusteeship, investment advice, and other services. We recognize excellent relationship management, accurate, actionable, and sound advice, and the desire to deliver the best quality work, improving the groups overall performance and increasing its value-added capacities. We are looking for a Compliance Officer to join one of our portfolio companies and support its compliance, regulatory, anti-money laundering, privacy, licensing, and online insurance distribution requirements across Western Canada.

The first is to oversee compliance for an insurance company offering specialized life insurance services to a niche client base. The second is to serve as the individual appointed to the relevant regulators and be responsible for the management and supervision of the licensed business. The successful candidate will support compliance across British Columbia, Alberta, Saskatchewan, and Manitoba and must be eligible to hold the required life insurance licences and regulatory appointments in each province.

Corporate Compliance

Maintaining the company's written compliance policies and procedures and keeping them current as legislation changes Advising the business on regulatory and legislative changes Maintaining compliance with CCIR and CISRO guidance and principles related to the conduct of insurance business and fair treatment of customers Reviewing compensation and incentive arrangements for potential customer impacts Managing the complaint handling process and maintaining the complaint register Conducting compliance monitoring and file reviews, documenting findings, and tracking remediation Preparing compliance reports for senior management Managing regulatory examinations, audits,



and information requests Delivering compliance training to staff and licensed representatives Anti-Money Laundering Acting as the compliance officer appointed under the Proceeds of Crime (Money Laundering) and Terrorist Financing Act Maintaining the written compliance program, business risk assessment, and training program Ensuring the compliance program remains risk-based and effective Completing the required effectiveness review at least every two years and reporting the results to a senior officer Submitting required suspicious transaction, terrorist property, large cash transaction, and large virtual currency transaction reports Acting as the individual accountable for privacy compliance under PIPEDA and the British Columbia Personal Information Protection Act Maintaining privacy policies, consent practices, and safeguards Regulatory Appointments & Supervision Taking responsibility for the management and supervision of the licensed business Establishing supervision standards for licensed representatives based on their qualifications, experience, and the business being conducted Ensuring only appropriately licensed individuals act for the business Monitoring licences, continuing education, and errors and omissions coverage Ensuring required corporate errors and omissions coverage is maintained Screening representatives before appointment and monitoring them thereafter Completing required regulatory notifications relating to the business, representatives,



and licensing status Online Distribution Overseeing compliance of the website and online application process Ensuring required customer disclosures are available before purchase Ensuring customers are clearly informed about whether advice is provided as part of the sale Ensuring needs analysis and suitability information is collected, documented, and retained Reviewing marketing and advertising materials before use The successful candidate must be eligible for the required regulatory appointments in each applicable province.

British Columbia: Nominee and holder of a British Columbia life insurance agent licence, with the required experience and completion of the Council's Nominee Course Designated representative for the life class and holder of an Alberta life insurance agent's certificate of authority Manitoba life insurance agent licence, with an accident and sickness licence if applicable to the products sold Life insurance agent licence in British Columbia, Alberta, Saskatchewan, and Manitoba, or the ability to obtain all four Eligibility for the required regulatory appointments Minimum 3 years of compliance experience in life insurance or financial services Knowledge of CCIR and CISRO fair treatment of customers guidance Strong written communication skills, including the ability to prepare policies, reports, and regulatory correspondence Clean regulatory record Ability to successfully complete required background, credit, licensing, and regulatory checks Experience with online or direct-to-consumer insurance distribution Experience building or reviewing an anti-money laundering program Compliance, financial crime, or related professional designation or certificate Performance-based bonus Medical, dental, and vision benefits Permanent, Full-time Start Date: Immediate We are an equal prospect employer, and all qualified applicants will receive consideration for employment without regard to race, colour, religion, sex, national origin, disability status, protected veteran status, or any other characteristic protected by law. #

📌 Compliance Specialist- Monitoring & Testing (Vancouver)
🏢 Family Innovation
📍 Vancouver

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