drjobs Senior Administrator, Regulatory Initiatives & Reporting (18-month Contract) (226684)

Senior Administrator, Regulatory Initiatives & Reporting (18-month Contract) (226684)

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1 Vacancy
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Job Location drjobs

Toronto - Canada

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Requisition ID: 226684

Join a purpose driven winning team committed to results in an inclusive and high-performing culture.

The Senior Administrator is responsible for providing support to the Senior Manager Regulatory Initiatives & Reporting and the 1A side of the PIC role is a dedicated administration & support role designed to create capacity and support the Senior Manager to focus on larger projects and other compliance and regulatory incumbent understands how the Banks risk appetite and risk culture should be considered in day-to-day activities and decisions ensuring that all activities conducted are in compliance with governing regulations internal policies and procedures.

Location:Toronto Ottawa Burlington Markham or Waterloo

Major Accountabilities:

Executes on effective management oftier one compliance and regulatory oversight:

  • Working closely with the Senior Manager and/or assigned Project Team to uphold regulatory oversight and risk management standards.
  • Working with Compliance partners to implement regulatory and fiduciary guidelines into in market best practices.
  • Monitoring adherence to regulatory and internal Bank requirements; ensuring compliance risk management and regulatory rules guidelines policies and standards are followed across the assigned market area.
  • Sharing knowledge to the audit function and researching of identified issues to result in favourable audit results.
  • Ensures business level processes and procedures are properly executed documented and reviewed for audit purposes as required.
  • Supports the audit function both in the preparation stage and issue resolution of findings.
  • Providing support to the Senior Manager to communicate and implement any changes in policies and practices that will impact our clients and/or the Relationship Managers.
  • Supporting Senior Manager National Field Operations to identify research document and report upon compliance concerns establishing and maintaining PIC policies and procedures researching and reporting on impactful regulatory changes and taking part in special projects where assigned.

Support compliance regulatory and operational risk by:

  • Minimizing the Banks exposure to risk by complying with and ensuring team members compliance with all procedures regulatory activities and guidelines including Privacy Anti-Money Laundering Anti-Terrorist Financing FCAC Know Your Client Occupational Health and Safety and Guidelines for Business Conduct.
  • Supporting and reinforcing any changes in policies and practices to the Senior Manager for communication to the Relationship Managers Market Leads Regional Directors GO Managers and Portfolio Administrators.
  • Working with the Senior Manager to help ensure that implementations of new policies and procedures are communicated effectively to the Relationship Managers which will strategize towards inclusion of regulatory and compliance best practices.
  • Proactively identifying potential and actual compliance issues and concerns and escalating to proper authority.
  • Liaising with the compliance department to ensure inquiries are resolved in a timely manner and identifyingpatterns and on-going issues and escalating as required.
  • Ensuring client complaints claims legal actions and regulatory reviews examinations and investigations are handled effectively and corrective actions are implemented in a timely manner. This is done in partnership with the Senior Manager.
  • Co-coordinating and completing any reporting requirements accurately and submitting to the appropriate authority in a timely manner.

Education/Work Experience/Designations

Education & Work Experience:

  • University Degree or College Diploma (Business Economics Accounting Finance);
  • Asset: CSC & CIM
  • Previous experience with Tier 1 compliance/regulation

Functional Competencies:

  • Thorough investment management know-how and a depth of experience required as it relates to understanding compliance and regulatory rules;
  • Solid understanding of Canadian Wealth Management objectives strategies and structures;
  • Strong compliance knowledge and experience in Private Wealth and Investment Management
  • Ability to cultivate and maintain strong working relationships across multiple business lines;
  • Highly effective verbal and written communication skills to be able to effectively articulate views both within the Bank and externally;
  • Extensive knowledge of all applicable regulatory rules guidelines policies and requirements.
  • Strong interpersonal & collaboration skills

Location(s): Canada : Ontario : Toronto

Scotiabank is a leading bank in the Americas. Guided by our purpose: for every future we help our customers their families and their communities achieve success through a broad range of advice products and services including personal and commercial banking wealth management and private banking corporate and investment banking and capital markets.

At Scotiabank we value the unique skills and experiences each individual brings to the Bank and are committed to creating and maintaining an inclusive and accessible environment for everyone. If you require accommodation (including but not limited to an accessible interview site alternate format documents ASL Interpreter or Assistive Technology) during the recruitment and selection process please let our Recruitment team know. If you require technical assistance please click here. Candidates must apply directly online to be considered for this role. We thank all applicants for their interest in a career at Scotiabank; however only those candidates who are selected for an interview will be contacted.

Note: All postings in will remain live for a minimum of 5 days.


Required Experience:

Senior IC

Employment Type

Contract

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