About the role

  • Advise and support stakeholders in the sound management of regulatory risks.
  • Participate in the rollout of regulatory risk management programs.
  • Contribute to risk analyses for company projects and initiatives.
  • Monitor legislative developments and support teams in assessing regulatory impacts.
  • Collaborate on the implementation of guidance from the Autorité des marchés financiers (AMF).
  • Participate in identifying, evaluating and monitoring risks and action plans.
  • Keep registers up to date and contribute to regulatory reporting.

Requirements

  • 5 to 8 years of experience in property and casualty insurance or in financial services, including some experience in risk management.
  • Bachelor’s degree in law (Bar membership/licensed lawyer is an asset).
  • Recognized for rigor and strong analytical skills.
  • Stands out for a collaborative mindset and the ability to reconcile different points of view.
  • Demonstrates a high degree of autonomy and proactivity.
  • Excellent verbal and written communication skills.

Benefits

  • Flexible group insurance
  • Pension plan
  • Employee share purchase
  • Wellness days
  • Telemedicine
  • Employee assistance program
  • Ergonomic furniture
  • Performance bonuses
  • Discounts on iA products

Job title

Compliance Advisor – Risk Management

Job type

Experience level

Mid levelSenior

Salary

Not specified

Degree requirement

Bachelor's Degree

Tech skills

Location requirements

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