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Regulatory Compliance Officer
Job Description & How to Apply Below
Elevate your career as a Regulatory Compliance Officer with CIBC in Toronto. You will lead comprehensive compliance examinations and support a strong regulatory framework within a hybrid work environment.
In the Compliance and Global Regulatory Affairs team, you will manage Regulatory Compliance Management examinations, ensuring quality and adherence to regulations such as OSFI E-13. This role demands strong communication skills and the ability to establish relationships across business lines to enhance compliance culture and manage risks effectively.
Key Responsibilities:
• Lead Regulatory Compliance Management examinations across multiple functions
• Communicate compliance requirements and results to stakeholders
• Assess adherence to regulatory policies and recommend improvements
• Maintain strong working relationships with Governance Groups and Oversight Functions
• Assist team members with examination processes and knowledge sharing
Requirements:
• Minimum of 3 years’ experience in compliance or audit
• Understanding of Regulatory Compliance Management policies
• University Degree or equivalent experience
• CPA, CIA, or related certification preferred
• Strong critical thinking and decision-making skills
Bring your expertise in compliance and regulatory affairs to contribute meaningfully at CIBC.
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