As a Control, Risk and Compliance Analyst, you help managers apply and carry out internal control, risk and compliance activities related to the distribution of savings/investment products offered in your network. More specifically, you assist with operational analysis, oversight and prevention. You analyze issues and situations. You support the professionals in your unit and help prepare opinions and implementation plans in accordance with your discipline's rules. You conduct preliminary analyses. You draw on your comprehensive knowledge of your line of business and your ability to manage complexity. You interact with stakeholders working in other fields. You assist clients and partners. Serve as the senior compliance officer for the distribution of savings and investment products. More specifically, you will be required to: Serve as the senior compliance officer for the distribution of savings and investment products. Prepare reports and present them to the relevant bodies. Liaise with relevant Desjardins components. Manage activities related to operational risk, including risk and control self-assessment, the input of operational losses, the business continuity plan and information security. Monitor the internal control system. Ensure that supervisory controls are completed, and be responsible for execution quality. Complete certain supervisory controls. Help managers identify and implement corrective measures. Ensure that activities related to money laundering and terrorist financing legislation (PCMLTFA) are carried out. Comply with policies, practices and standards, as well as legislation governing the distribution of financial products and services.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
5,001-10,000 employees