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71504-1 - Int. Branch Supervision Administrator to support sales supervision activities and regulatory activities for our banking client

Toronto, ON
  • Nombre de poste(s) à combler : 1

  • À discuter
  • Emploi Contrat

  • Date d'entrée en fonction : 1 poste à combler dès que possible

71504-1 - Int. Branch Supervision Administrator to support sales supervision activities and regulatory activities for our banking client

Length of Contract: 6 months with potential extension

Hybrid 2 days in office Wednesday & Thursday in DT Toronto


Qualifications:

• 1-3 years financial Service experience - ideally in investing / auditing

• Previous knowledge of all supervision and industry regulations


Nice To Haves:

• post-secondary degree in related field of study or an equivalent combination of education and experience.

• Canadian Security Course

• Supervisor License

• Audit experience

• Post secondary (preferably in Accounting, Business) not limited to


Job Description:

Supports sales supervision activities and regulatory activities

• Acts as a designee on supervision objectives for the branch.

• Provides ongoing supervision education to assigned branch / portfolio.

• Provides support and guidance to branch employees on supervision issues.

• Supports the execution of strategic initiatives in collaboration with internal and external stakeholders.

• Identifies, reports and manages all supervision issues and irregularities according to guidelines.

• Supports applicable supervision responsibilities as per guidelines.

• Performs required daily/monthly supervision reviews, including reviewing branch reports.

• Performs required supervision reviews (delegated tasks) such as Global Relay Email Review, Gateway Message Review, Daily Trade Review, Monthly Activity Review, Quarterly Meridian Report Review, Outstanding Documentation Review. Query and Request for Information (RFI) and follows up on outstanding issues.

• Executes work to deliver timely, accurate, and efficient service.

• Performs supervision activities to meet regulatory requirements and maintain service level standards.

• Builds effective relationships with internal/external stakeholders.

• Ensures alignment between stakeholders.

• Follows through on risk and supervision processes and policies to ensure we safeguard our customers’ assets, maintain their privacy, act in their best interests, and ensure an effectively run function.

• Protects the Bank's assets and complies with all regulatory, legal and ethical requirements.

• Focus may be on a business/group

• Thinks creatively and proposes new solutions.

• Exercises judgment to identify, diagnose, and solve problems within given rules.

• Works mostly independently.

• Broader work or accountabilities may be assigned as needed.


Interviews:

• 1 round virtual via MS Teams

• 2nd round potentially in person

Apply

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