Chief Compliance Officer
Our Investment Dealer client is recruiting for a Chief Compliance Officer
The position will be remote with occasional office visits when required and with a part-time work load.
Established fifteen years ago on the concept that the client needs are paramount. The firm strives to create long-term partnership with each client by providing them with prompt, thorough advice free of conflict.
The firm’s business segments include; Capital Markets focused on principal investments, Capital Advisors providing financial advisory and asset management services, mining advisory, and operations.
The opportunity would be of interest to someone who has multiple years of experience dealing with IIROC compliance requirements for an institutional dealer and is seeking to apply those skills in a dynamic environment by providing advice and direction and will manage and direct all aspects of the firm’s compliance programs as the sole proprietor.
Other duties as required;
Completion of required CCO qualifying exams and registrations, including Supervisor exams
A bachelor’s degree in finance, business, law, or a related field is an asset.
Successful licensing as the firms Chief Compliance Officer
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