IA Financial Group

Senior Compliance Advisor

IA Financial Group$100K — $120K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Member in good standing of a Canadian Bar Association or the Chambre des notaires du Québec.
  • 8-10 years in compliance, risk management, legal affairs, or a regulatory field, preferably in insurance or savings sectors.
  • Strong knowledge of regulatory frameworks for distribution and manufacturing of insurance products.
  • Excellent collaboration, influencing, and communication skills.
  • Proficient in delivering presentations and training sessions.
  • Fluent in French and English, capable of supporting bilingual stakeholders.

Responsibilities

  • Provide advisory services on complex regulatory matters for the business.
  • Develop practical, actionable recommendations to support teams' projects.
  • Oversee the evolution of compliance training offerings.
  • Design and conduct training sessions for partners and internal teams.
  • Assess regulatory risks of initiatives and provide recommendations.
  • Maintain compliance frameworks and engage with stakeholders and industry associations.

Benefits

  • Flexible group insurance plan.
  • Competitive retirement savings program.
  • Employee share purchase plan.
  • Generous vacation and wellness days program.
  • Telemedicine services available.
  • Employee and Family Assistance Program (EFAP).
  • Performance-based incentives and discounts on products.
Full Job Description
Job Description

As a Senior Compliance Advisor, you will play a strategic role in supporting both Sales teams and the Manufacturer by helping them understand and navigate complex regulatory matters related to insurance, individual savings, and retirement solutions. You will also contribute to high-impact initiatives that are shaping the future of the organization, while leveraging your expertise in a collaborative, supportive environment focused on growth and development.

You will be part of the Advisory Services and Partner Relations team, recognized for its legal and regulatory expertise and composed of three Senior Compliance Advisors and one Assistant Director. You will report directly to the Assistant Director, Compliance, Advisory Services and Partner Relations.

What You'll Accomplish
  • Provide advisory services on complex regulatory matters affecting the business, particularly in distribution and manufacturing activities.
  • Support teams in their projects and initiatives by developing practical, actionable recommendations.
  • Act as the steward of the compliance training offering, ensuring its consistency, relevance, and ongoing evolution.
  • Design, structure, and deliver training sessions for internal and external partners.
  • Assess regulatory risks associated with projects and initiatives and provide appropriate recommendations.
  • Contribute to maintaining the compliance framework, strategic discussions, and interactions with internal and external stakeholders, as well as industry associations.


What We're Looking For
  • Member in good standing of a Canadian Bar Association or the Chambre des notaires du Québec (required).
  • 8 to 10 years of experience in compliance, risk management, legal affairs, or a regulatory field, preferably within the insurance, savings, or distribution sectors.
  • Strong knowledge of the regulatory framework governing the distribution and manufacturing of insurance and savings products.
  • Excellent collaboration, influencing, and communication skills, with the ability to convey complex concepts in clear and simple language.
  • Comfortable delivering presentations and training sessions to a variety of audiences.
  • Advanced French proficiency required. Advanced English proficiency is also required, as the incumbent will collaborate with, train, and support brokerage network partners as well as internal stakeholders located outside Quebec on a regular basis in a pan-Canadian context.


Why You'll Love Working With Us
  • A work environment where learning and development go hand in hand with a shared pursuit of excellence.
  • Access to artificial intelligence tools that enhance personal productivity and support organizational growth.
  • A healthy, safe, equitable, and inclusive workplace where everyone can thrive and reach their full potential.
  • The opportunity to work in a hybrid environment offering flexibility and access to inspiring, innovative workspaces.


Competitive Benefits
  • Flexible group insurance plan.
  • Competitive retirement savings program.
  • Employee share purchase plan.
  • Vacation program, wellness days, and personal development days.
  • Telemedicine services.
  • Employee and Family Assistance Program (EFAP).
  • Performance-based incentive program, discounts on iA products, and much more.


Apply now and take your career to the next level in an environment where your talent truly makes a difference!

Location(s)
Quebec / 1080, Grande Allee West

Other Possible Location(s)
Montreal / 1981 McGill College AvenueToronto / 26 Wellington Street East

Company

iA Financial Group

Posting End Date
2026-08-21

About IA Financial Group

IA Financial Group is a Canadian insurance and financial services company. The company offers a wide range of products and services including life and health insurance, mutual funds, securities, auto and home insurance, mortgages, and loans. IA Financial Group has been in business for over 125 years and has over 5,500 employees. The company is committed to sustainability and has been recognized for its efforts in this area. IA Financial Group is also committed to giving back to the community and has a strong corporate social responsibility program.
Learn more about IA Financial Group
Size
5,500 employees
Industry

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