Opens an external site
- Employment type
- Full-time
- Experience level
- Mid-level · 2+ years
- Minimum education
- Professional degree
- Posting language
- English
- Working hours
- 40 hours per week
- Office presence
- 4 days per week
Job summary
The Senior Compliance Officer monitors client account activity to ensure adherence to regulatory requirements and internal policies. They also provide guidance to advisors and branch managers while conducting detailed analysis of trading trends and potential conflicts of interest.
Job details
At CI, we see a great place to work as one that is a safe place for everyone to have a voice, where people are empowered to take ownership over meaningful work, where there is an opportunity to grow through stretching themselves, where they can work on innovative products and projects, and where employees are supported and engaged in doing so. We are currently seeking a Senior Compliance Officer, Surveillance to join our Compliance team. In this role, the successful candidate is expected to monitor client account activity of CI Assante advisors in accordance with internal procedures and regulatory requirements and to actively provide support to CI Assante advisors and Branch Managers on surveillance related issues. WHAT YOU WILL DO Conduct, monitor and document daily and monthly head office reviews of client account activity with a focus on criteria outlined in CIRO rules, other regulations, and corporate guidelines and policies Identify trends developing in trading of specific advisors and/or client accounts with an emphasis on suitability, concentration, potential conflicts of interest and unusual transactions, conducting detailed analysis and escalating concerns to the Manager of Trade Surveillance where necessary Follow up on inquiries from daily and monthly reviews with advisors and/or branch managers Prepare weekly summaries of follow up work and ad hoc reports as required Function as a key point of contact and a resource on surveillance related inquiries and requests from employees and Branches (including advisors, Branch Managers and support staff) Compliance officers will also be delegated additional core tasks such as email surveillance, reviewing and maintaining pro-accounts, sales/advertising approvals, and other tasks as warranted, which may also be for additional CI firms Provide training to new compliance officers and other staff members Continually evaluate the effectiveness of departmental procedures and participate in developing, maintaining, and implementing changes to the policies and procedures Work on special projects, as requested WHAT YOU WILL BRING University degree or college diploma Bilingual in English and French, written and verbal is an asset 2 - 4 years’ experience within Financial Services in sales, support or supervisory role Previous compliance experience in dealership setting (IIROC or MFDA) is a definite asset Strong verbal and written communication skills PC literate with advanced knowledge of MS Office (Excel, Outlook, PowerPoint and Word) Completion of Canadian Securities Course (CSC) Completion of Conduct and Practices Handbook (CPH), or willing to enroll within six months of hire Completion of, or willing to enroll in, Branch Manager Course would be an asset Ability to work effectively and efficiently in a fast-paced environment Detail oriented, extremely self-motivated, dedicated and a good team player Able to handle multiple tasks and priorities effectively This role follows our in office work model and requires employees to be onsite four days per week to support collaboration and business needs. This opportunity is for an existing vacancy with the company. The anticipated base salary range for this position is $55,000 to $95,000. Exact salary depends on several factors such as experience, skills, education, and budget. Salary range may vary based on geographic location. In addition to base salary, this position is eligible for participation in a bonus program. In addition, The Company offers a variety of benefits to eligible employees, including health insurance coverage, wellness programs, life and disability insurance, retirement savings plans, paid leave programs, education-related programs, paid holidays and vacation time, and many others. Many of these benefits are subsidized or fully paid for by the company. CI Financial is an independent company offering global wealth management and asset management advisory services through diverse financial services firms. Since 1965, we have consistently anticipated and responded to the changing needs of investors. We are driven by a commitment to provide individuals and institutions with the highest-quality investments and advice. Our commitment to the highest levels of performance means that whatever their position, CI employees must be comfortable in a fast-paced environment that will stretch them to tap into their highest potential. Employees with a healthy dose of ambition, a desire to commit to a curious mindset for continuous learning, and a willingness to go the extra mile thrive at CI. A Supportive Environment for Success We offer an in-office environment, competitive benefits, and a supportive workplace to help our employees thrive both personally and professionally. WHAT WE OFFER Modern HQ location within walking distance from Union Station Training Reimbursement Paid Professional Designations Employee Savings Plan (ESP) Corporate Discount Program Enhanced group benefits Parental Leave Top–up program Paid time off for Volunteering We are focused on building a diverse and inclusive workforce. If you are excited about this role and are not confident you meet all the qualification requirements, we encourage you to apply to investigate the opportunity further. Please submit your resume in confidence by clicking “Apply”. Only qualified candidates selected for an interview will be contacted. CI Financial Corp. and all of our affiliates (“CI”) are committed to fair and accessible employment practices and provide reasonable accommodations for persons with disabilities. If you require accommodations in order to apply for any job opportunities, require this posting in an additional format, or require accommodation at any stage of the recruitment process please contact us at accessible.recruitment@ci.com, or call 416-364-1145 ext. 4747.
What you’ll do
The Senior Compliance Officer monitors client account activity to ensure adherence to regulatory requirements and internal policies. They also provide guidance to advisors and branch managers while conducting detailed analysis of trading trends and potential conflicts of interest.
Requirements
Candidates must possess a university degree or college diploma and 2-4 years of experience in financial services, preferably in a compliance or supervisory role. Completion of the Canadian Securities Course (CSC) and Conduct and Practices Handbook (CPH) is required or must be obtained within six months of hire.
Benefits
- Health insurance coverage
- Wellness programs
- Life and disability insurance
- Retirement savings plans
- Paid leave programs
- Education-related programs
- Paid holidays
- Vacation time
- Training reimbursement
- Paid professional designations
- Employee savings plan
- Corporate discount program
- Parental leave top-up program
- Paid time off for volunteering
Listed skills
- Time management · Preferred
- Teamwork · Preferred
- Training · Preferred
- Policy development · Preferred
- Attention to detail · Preferred
- Data analysis · Preferred
- MS-Office · Preferred
- Communication · Preferred
Other relevant skills
Identified from the job description. Confirm important requirements above.
- Compliance monitoring
- Trade surveillance
- Regulatory reporting
- Risk assessment
- Financial services
- Data analysis
- Communication
- MS Office
- Conflict of interest identification
- Policy development
- Training
- Attention to detail
- Teamwork
- Time management
Job areas
- Finance & Accounting
- Legal
- Management & Leadership
- Administrative
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