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Job Description
What’s in it for you as an employee of QFG?
Health & wellbeing resources and programs
Paid vacation, personal, and sick days for work-life balance
Competitive compensation and benefits packages
Work-life balance in a hybrid environment with at least 3 days in office
Career growth and development opportunities
Opportunities to contribute to community causes
Work with diverse team members in an inclusive and collaborative environment
This job posting is for an existing vacancy.
We’re looking for our next Supervisor, Business Integrity. Could It Be You?
The Supervisor, Business Integrity will work closely with other compliance teams and business units in conducting audits & testing ensuring reviews, monitoring, escalation and reporting is undertaken in accordance with documented policies and procedures. The Supervisor will act as the key subject matter expert on matters related to corporate and individual registration. The Supervisor will also be responsible for keeping up to date with regulatory changes across the enterprise and advising management in relation to employee and firm conduct requirements.
Need more details? Keep reading…
In this role, responsibilities include but are not limited to:
Working with stakeholders in the development and enhancement of products to ensure compliance with applicable laws and regulations; coordinate development and maintenance of supporting policies and procedures
Assisting and coordinating all regulatory reporting in a timely manner.
Preparing quarterly reports to the Questrade Group of Companies
Working with relevant business units to apply for registration with securities regulators and other lines of business as required.
Keeping our corporate registration profiles up to date; completing filings to regulators as needed.
Working closely with regulators and third parties to coordinate, prepare and manage audits, examinations and reviews.
Providing coaching/leadership to compliance officers and/or analysts
Acting as a key resource for business units of company and regulatory business conduct compliance requirements
Initiating communication that ensures a clear understanding of compliance standards required of employees and business units
Leading internal audits and reviews
Conducting employee supervision including assessment of violations
Recommending improvements to internal controls and business processes
Monitoring employee disclosures including assessment of outside activities, gifts & entertainment and conflicts of interest
Representing Compliance in internal/external committees and working groups
Maintaining internal policies and procedures and recommending changes to existing controls, as necessary.
Fostering a culture aligned to QFG purpose, values and strategy and role models QFG values and behaviours in all that they do.
So are YOU our next Supervisor, Business Integrity? You are if you…
Have in-depth knowledge of the Canadian securities industry, including SRO and CSA regulations
Have 5+ years industry experience
Have 3+ years related experience required preferably in a compliance or audit role
Have experience in Compliance Programs including administering formal audits
Have excellent verbal and written communication skills
Have ability to manage ambiguity
Have analytical and problem solving skills
Additional kudos if you…
Canadian Securities Course
Conduct & Practices Handbook Course
Branch Managers Course or Investment Dealers Supervisors Course
Courses or experience related to Mortgage or Real Estate brokerages
Knowledge of RECO and/or FSRA regulations
Compensation Information:
Base salary range: $95,000 - $105,000
The final compensation package will be commensurate with the successful candidate's experience, skills, and geographic location (Canada). It includes a comprehensive benefits plan and a competitive incentive (bonus) program for Full-Time Permanent roles.
Sounds like you? Click below to apply!
#LI-Hybrid#LI-DB1
