Compliance Manager, Canada

603

Toronto, Ontario, Canada
Base: cad $85,000-$118,000; bonus: eligible for in...
Minimum 3 years experience in insurance or financial industry
Knowledge of osfi guideline e-13 and canadian regulations
Ability to draft policies, manuals, and training materials
The Compliance Manager will ensure AIG Canada's compliance with internal policies, applicable laws, and regulations while reporting directly to the Chief Compliance Officer

Job Summary

  • The Compliance Manager will ensure AIG Canada's compliance with internal policies, applicable laws, and regulations while reporting directly to the Chief Compliance Officer.
  • This role involves overseeing the Regulatory Compliance Management framework, managing privacy breaches, and assisting with market conduct audits across multiple business lines.
  • AIG offers a competitive salary range of CAD $85,000-$118,000, performance bonuses, and a comprehensive Total Rewards Program focused on health, wellbeing, and professional development.

Matching Summary

The Compliance Manager will ensure AIG Canada's compliance with internal policies, applicable laws, and regulations while reporting directly to the Chief Compliance Officer.

Salary

Base: CAD $85,000-$118,000; Bonus: Eligible for incentive plan bonus; Benefits: Comprehensive Total Rewards Program including health and professional development

Skills & Requirements

Must-have

  • Minimum 3 years experience in insurance or financial industry
  • Knowledge of OSFI Guideline E-13 and Canadian regulations
  • Ability to draft policies, manuals, and training materials
  • Strong verbal and written communication skills
  • Experience with privacy complaints and breach management

Nice-to-have

  • Public speaking and presentation skills
  • Strong relationship management capabilities
  • Proactive problem-solving and issue identification
  • Experience with Market Conduct Audits
  • Ability to work independently in a collaborative culture

Key Requirements

  • Bachelor's Degree required
  • Minimum 3 years of experience in Compliance, Legal, Risk Management, or Internal Audit
  • Understanding of law and regulation as it applies to the insurance industry

Work Rights

Not specified

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