The Compliance Department's vision is to be a trusted partner and advisor to help Teachers' business divisions effectively balances risk, regulatory compliance and related best practices in accordance with Teachers' risk tolerance and to help build a sustainable culture of compliance.
The Manager, Investments Compliance will directly support the six key functions of the Compliance Operating Model: i) Advisory, ii) Policies and Procedures, iii) Education and Training, iv) Monitoring and Surveillance, v) Compliance Risk Management, vi) Compliance Reporting to Senior Management and the Board.
You will work closely with internal and external stakeholders at all levels in the organization. This includes, Corporate Affairs, Compliance, Investments, as well as liaise with public pension peers ensuring standard methodologies are followed.
Valid through: 2020-2-21