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Senior Manager, AML Compliance Officer Banks

Company:
Summit Search Group
Location:
Mississauga, ON, Canada
Posted:
November 24, 2025
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Description:

The role will relocate to Downtown Toronto in approximately Q2 2026.

This is a hybrid position with in-office on Tuesdays and Wednesdays.

Position Scope: The Senior Compliance Officer will be responsible for ensuring compliance with applicable laws, regulations, and internal policies across the organization.

They will play a critical role in maintaining the company's integrity and reputation while working closely with business leaders to ensure compliance in all aspects of our client’s operations.

Experience navigating organizational transformation is a significant asset.

Review and update compliance policies, procedures, and controls to mitigate risk and maintain the company's commitment to best practices.

Identify, assess, and manage compliance risks within operational processes and provide recommendations to senior management on risk mitigation strategies.

Support and provide compliance insights during organizational transformation initiatives, ensuring that new processes or business models remain compliant.

Provide regular compliance reports to senior leadership, highlighting key risks and areas of concern.

Continually assess current processes and recommend appropriate enhancements to improve or adapt to changing business or regulatory requirements.

Respond to assigned customer complaints.

Review of proposed marketing initiatives for adherence to regulatory and Compliance policies.

Act collaboratively with other business units to render a compliance service that supports the development of good quality business practices, and which protects and enhances the company’s brand.

Perform ad-hoc and planned topic targeted reviewed to monitor and test adherence to regulatory requirements.

Assist in administration of the organization’s AML program.

Work collaboratively with all Compliance Services peers and assist in the execution of their mandates were needed.

Exceptional analytical skills with a strong attention to detail and ability to identify potential compliance risks Strong written and verbal communication skills, with the ability to clearly explain complex regulatory requirements to non-compliance staff and senior management Strong critical thinker with the ability to solve compliance-related challenges in a fast-paced, evolving environment Well-organized and detail-oriented, with the solid record-keeping skills needed to work with internal systems and processes Planning and organizational skills 3-5 years of experience in a compliance role within a Fintech, banking, or financial services environment, with a strong understanding of Canadian regulatory frameworks (National Policy, FINTRAC, AML, PIPEDA) ~ Demonstrated experience supporting compliance through organizational transformation, including the integration of new systems, processes, or business models ~ Successfully completed or are registered in the Canadian Investment Funds Course ~ Three years’ experience of investigating and formally responding to customer complaints We welcome and encourage applications from people with disabilities.

Accommodations are available on request for candidates taking part in all aspects of the recruitment and selection process.

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