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Senior Compliance Manager - Regulatory Engagement

Job in Toronto, Ontario, M5A, Canada
Listing for: BMO
Full Time position
Listed on 2026-06-14
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Financial Compliance, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 94600 CAD Yearly CAD 94600.00 YEAR
Job Description & How to Apply Below

Final date to receive applications:

04/10/2026

Address:

100 King Street West

Job Family Group:

Audit, Risk & Compliance

Senior Compliance Manager – Regulatory Engagement (12‑Month Contract)
BMO Nesbitt Burns – Private Client Division | BMO Private Wealth

About Us

BMO Nesbitt Burns
, part of BMO Private Wealth
, is one of North America’s leading full‑service investment advisory firms, offering comprehensive wealth management supported by deep market insight and institutional‑grade resources.

Our Private Client Division provides personalized wealth advisory, sophisticated investment solutions, and the support of a multidisciplinary expert network.

Role Overview

We are seeking a Senior Compliance Manager – Regulatory Engagement with strong expertise in CIRO rules, securities regulation, and technology‑driven change initiatives. This role is a 12‑month full‑time contract
, with the possibility of extension.

The position has dual reporting lines to the Chief Compliance Officer, BMO Nesbitt Burns Inc., Private Client Division, and Private Wealth Canada, and to the Managing Director, Regulatory Engagement, Private Wealth.

The successful candidate will play a key leadership role in a major platform modernization initiative (the “Project”), including preparing regulatory submissions, coordinating with regulators, and ensuring compliance with all applicable requirements.

Responsibilities

Regulatory Engagement & Approvals

  • Prepare, coordinate, and assist finalizing required regulatory submissions and applications for approval and/or exemptive relief.
  • Document current‑state and future‑state operating models, identifying required compliance impacts.
  • Ensure regulatory documentation is complete, accurate, and aligned with Project timelines.
  • Compliance Leadership for Modernization

  • Provide compliance leadership for technology and process modernization, ensuring alignment with applicable rules and regulations, trading requirements, and internal policies.
  • Support changes to compliance programs, supervisory controls, and monitoring frameworks resulting from the Project.
  • Participate in monitoring, testing, risk assessments, and audit processes triggered by modernization changes.
  • Broader accountabilities as may be required.
  • Stakeholder & Project Leadership

  • Build and maintain strong senior‑level stakeholder relationships across business, operations, technology, risk, legal & regulatory compliance, and other groups.
  • Lead and influence cross‑functional discussions to drive regulatory readiness and business engagement.
  • Develop communications, briefings, and presentations for internal stakeholders, senior committees, and regulators.
  • Qualifications

    Core Requirements

  • University degree and 8+ years of compliance or regulatory experience in financial services, including significant involvement in technology projects requiring regulatory approvals or exemptive relief.
  • Completion of the CSC, Investment Dealer Supervisors Course, or equivalent credentials.
  • Deep knowledge of CIRO rules, UMIR, securities laws, and Canadian trading requirements.
  • Strong understanding of electronic trading platforms and broader trading ecosystems.
  • Experience preparing or contributing to major regulatory change initiatives.
  • Soft Skills

  • Strong analytical and critical‑thinking abilities; able to assess regulatory impacts and propose compliant solutions.
  • Exceptional written and verbal communication skills, particularly in translating technology and regulatory content for non‑technical stakeholders.
  • Ability to alternate between working independently and collaboratively.
  • High professionalism, ethics, and integrity.
  • Ability to navigate ambiguity, manage multiple priorities, and work effectively in a fast‑moving project environment.
  • Nice‑to‑Haves

  • Experience with regulatory audits, including panel audits.
  • Experience in monitoring and testing programs.
  • Project management certifications or equivalent experience.
  • Prior status as an Approved Person under CSA or CIRO rules or experience at a regulator.
  • Salary:

    $94,600.00 - $

    Pay Type:

    Salaried

    The above represents BMO Financial Group’s pay range and type.

    Salaries will vary based on factors such as location, skills, experience, education, and qualifications for…

    Position Requirements
    10+ Years work experience
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