Compliance Officer Jobs in Toronto, Ontario
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Toronto, Ontario
Compliance Officer
Compliance Officer
Senior Compliance Officer, Equity Trade Surveillance
Senior Compliance Officer, Equity Trade Surveillance
Senior Compliance Officer, Equity Trade Surveillance
Senior Compliance Officer, Equity Trade Surveillance
Compliance Officer, Regulatory Reporting and Special Projects (Contract)
Compliance Officer, Regulatory Reporting and Special Projects (Contract)
Compliance Officer, Regulatory Reporting and Special Projects (Contract)
Compliance Officer, Regulatory Reporting and Special Projects (Contract)
Compliance Officer, Complaints and Regulatory Investigations
Compliance Officer, Complaints and Regulatory Investigations
Compliance Officer, Complaints and Regulatory Investigations - Contract
Compliance Officer, Complaints and Regulatory Investigations - Contract
Branch Compliance Officer - 18 Month Contract
Branch Compliance Officer - 18 Month Contract
Mobile Compliance Officer
Mobile Compliance Officer
Compliance Officer, Wealth Compliance Examinations
Compliance Officer, Wealth Compliance Examinations
Chief Compliance Officer, RBC Phillips Hager & North Investment Counsel
Chief Compliance Officer, RBC Phillips Hager & North Investment Counsel
Mobile Compliance Officer - Temporary Part-Time
Mobile Compliance Officer - Temporary Part-Time
Senior Compliance Officer – AML & Cross-Border Payments
Senior Compliance Officer – AML & Cross-Border Payments
Regulatory Chief Compliance Officer, Reinsurance Canada Branch
Regulatory Chief Compliance Officer, Reinsurance Canada Branch
Local Compliance and Data Protection Officer
Local Compliance and Data Protection Officer
Senior Compliance Officer - Deposits and Investments Portfolio
Senior Compliance Officer - Deposits and Investments Portfolio
Event Operations & Sustainability Compliance Officer
Event Operations & Sustainability Compliance Officer
Asst Facility Security Manager
Asst Facility Security Manager
Senior Regulatory Compliance Analyst
Senior Regulatory Compliance Analyst
EHS Risk & Compliance Manager
EHS Risk & Compliance Manager
Compliance Officer
Top Benefits
About the role
At Raymond James, we develop, we collaborate, we decide, we deliver, and we improve together .
Raymond James Ltd. is Canada’s leading independent investment dealers offering high quality investment products and services to Canadians seeking customized solutions to their wealth management needs.
Compliance Officer How does the role impact the organization? Reporting to the Senior Manager, Compliance, you will be primarily responsible for trade approvals, monthly account reviews and social media management. You will also be responsible for contacting sales staff to implement corrective actions and ensuring compliance with the firm’s policies and procedures as well as industry regulations. In addition, you will play an active role in staffing the department’s "help desk" as a compliance resource person.
What will your role be responsible for?
- Monitor and approve trades in restricted securities and/or accounts;
- Respond to requests from branches on various compliance issues;
- Act as the primary contact person for questions pertaining to New Accounts and the restriction of document deficient accounts;
- Approve trade corrections and various trade review escalations;
- Conduct email and social media supervision;
- Provide support as required on various compliance projects; and
- Execute other duties relevant to CIRO Tier 2 supervisory role.
What can you expect from us? Our most important investment is in people. Upon eligibility, Raymond James Ltd offers flexible workstyles, a competitive compensation and benefits package. Our benefits range from Health Benefits, RRSP Matching Program, Employee Stock Purchase Plan, Paid Time Off, Volunteer Days, Discretionary Bonuses, Tuition Reimbursement and many more! We also support internal promotion and community involvement.
What do we expect from you?
- Possess compliance or related branch/operations within the securities industries;
- Have successfully completed the Canadian Securities and the Conduct and Practices Handbook courses or agree to complete the courses within one year;
- Be proficient with MS Office (focusing on Word, Excel and Outlook) and Dataphile;
- Have a superior oral and written communication skills;
- Have a well-developed and proven customer service and interpersonal skills;
- Be a strong multi-tasker and have the ability to work under pressure;
- Perform well independently and with a team;
- Have successfully completed Branch Manager. Options Licensing, Options Supervisors Courses or other CSI Courses (are definite assets); and
- Possess legal and/or privacy diplomas (are an asset).
We encourage our associates at all levels to:
- Grow professionally and inspire others to do the same
- Work with and through others to achieve desired outcomes
- Make prompt, pragmatic choices and act with the client in mind
- Take ownership and hold themselves and others accountable for delivering results that matter
- Contribute to the continuous evolution of the firm
Salary Range: $65,000-82,000 annually, in addition to competitive performance bonuses/incentives.
Actual compensation will be determined based on skills, experience, internal equity, and other job requirements.
This posting is for an existing vacancy.
At Raymond James – we honor, value, respect the uniqueness, experiences, and backgrounds of all of our Associates. When associates bring their best authentic self, our organization, clients and communities thrive, it is part of our people-first culture. The Company is an equal opportunity employer and makes all employment decisions on the basis of merit and business needs.
Here at Raymond James we demonstrate our commitment to ensuring equal opportunities for all candidates. To request accommodations, candidates are instructed to contact Human Resources via email at recruitment@raymondjames.ca. By reaching out to this email address, candidates can communicate their specific requirements and discuss the necessary accommodations they may need to participate fully in the recruitment process.
We may use automated or AI-enabled tools to support parts of our recruitment and screening process, including screening, assessing or selecting applicants where applicable. These tools help us review applications efficiently, but they do not replace human decision-making.
Job Auditing & Compliance
Primary Location CA-ON-Toronto-Toronto
Organization Compliance
Schedule Full-time
Status Permanent Full-Time
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About Raymond James Ltd.
Raymond James Ltd., the Canadian subsidiary of Raymond James Financial, Inc., has a rich history dating back to its establishment in 1962. Our parent company, which went public in 1983, is listed on the New York Stock Exchange under the ticker symbol RJF.
In 2000, Raymond James Financial, Inc. acquired Goepel McDermid Inc., subsequently rebranding it as Raymond James Ltd. Our legacy companies have been serving Canadian investors for nearly eight decades.
In 2016, Raymond James Ltd. further expanded its reach by acquiring 3Macs (MacDougall, MacDougall & MacTier Inc.), a distinguished investment firm founded in 1849, predating Canada’s Confederation. This acquisition significantly bolstered our private client business, integrating 72 advisors and over CAD 6 billion in client assets, thereby establishing the combined entity as Canada’s largest independent investment dealer.
Raymond James Ltd. is proud to be a member the Canadian Investor Protection Fund (CIPF).
Our vision – to be a firm as unique as the people we serve – guides us as we work to gain an even deeper understanding of what makes each of us unique and of what unites us. This principle guides our business at every level, including how we attract talented people and support their personal goals and professional development. When we welcome and embrace diverse experiences, perspectives and points of view in the workplace, it leads to more innovation, creativity and collaboration.