With over a decade of profound experience in Regulatory Compliance within the Canadian financial landscape and internationally, I've crafted a niche in mastering Canadian regulations. My expertise encompasses rules and regulations set by authorities like FINTRAC, IIROC, OSC, and OSFI.
Core ...
more
With over a decade of profound experience in Regulatory Compliance within the Canadian financial landscape and internationally, I've crafted a niche in mastering Canadian regulations. My expertise encompasses rules and regulations set by authorities like FINTRAC, IIROC, OSC, and OSFI.
Core Competencies
• Strategic Compliance Planning: Proven capability in crafting and implementing tactical-level compliance blueprints.
• Comprehensive Monitoring: Demonstrated success in the creation and execution of meticulous • Compliance Monitoring Programs across various lines of business, including Wealth Management, Private Banking, Advisory Channels, Middle Office, Trading, and Treasury.
• Regulatory Advisory & Training: Proficient in guiding Wealth Management teams on pivotal regulatory compliance topics like AML KYC and ensuring data privacy and security.
• Collaborative Approach: Renowned for forging seamless collaborations with cross-functional teams, thus ensuring unified compliance tactics and risk containment.
Professional Highlights
• A systematic approach to appraising compliance and regulatory hurdles, charting definitive mitigation/resolution strategies.
• Recognized expertise in refining Compliance Frameworks, ensuring operational transitions resonate with regulatory stipulations.
• Extensive acumen in Wealth Management products, encompassing Mutual Funds, Structured Products, FX, Equities, and more.
• Acclaimed supervisory prowess in Assurance and monitoring, combined with adeptness in Control Risk Self-assessment techniques for operational risk mitigation.
• Strong analytical capabilities that drive results.
• Driven by a genuine passion for assisting financial institutions navigate the intricate regulatory maze in Canada, I prioritize excellence in service and support for my clients.
Areas of professional expertise include:
- Compliance Examinations and Review
- Monitoring and testing of control functions
- Control Risk Self Assessment (CRSA)
- Regulatory Compliance Management Systems
- Anti-Money Laundering and Anti-Terrorist Financing
- Regulatory Obligation Register
- Compliance Monitoring Program (CMP)
- MiFID II, EMIR, CFTC LTRS including ICE EU / ICE US,
- Regulatory Compliance Management (RCM) E-13
- OSFI’s Guideline B-10
I have empowered organizations by imparting essential knowledge on AML, KYC, and data security, ensuring that regulatory compliance is not just an obligation but a cornerstone of their operational excellence.
Considering a compliance ally proficient in deciphering the Canadian regulatory landscape? Reach out
less