performing month end and year end journal entries and reconciliations; performing month end reviews and analysis; performing variance analysis and preparing reports; preparing audit working papers; preparing and maintaining amortization schedules; performing variance analysis of capital projects; preparing capital funding collection submissions; maintaining financing records relating to the capital project and equipment expenditures; preparing borrowing documents, working papers, and analysis; preparing statutory reports; and performing other related duties as assigned.
Jr. Compliance Analyst to support compliance testing for mutual funds for a large insurance client - 5195
S.i. SystemsWinnipeg
30+ days ago
Job description
Jr. Compliance Analyst to support compliance testing for mutual funds for a large insurance client -
2 Roles - 1 Bilingual (French / English) and 1 English Only
Duration : End of Dec (possibility of extension)
Location : Remote
Branch Examiner is responsible for performing ongoing and periodic analysis and supporting the Market Conduct Audit (MCA) program for various distribution channels. The incumbent will assist with compliance testing, and action plan resolutions for mutual fund and insurance.
Must Have Skills :
1-3 years’ experience as a Compliance Analyst working with Mutual Fund Compliance
Experience assisting with compliance audits or tests
High proficiency with technology : Microsoft Excel, MS Sharepoint, Access, Univeris, Customer Service Workbench (CSW)
Knowledge of MFDA Policiesand Bulletins, Securities and Insurance laws and regulations, and the ability to apply these in practical situations
Knowledge of life / health / wealth product lines
Bilingual (English / French)
Nice To Have Skills :
University or College degree related to accounting, business or compliance
Understanding of commission arrangements, advisor contracts and the code of business practice for advisors
Successful completion of IFIC Course
Successful completion of LLQP Course
Salesforce experience
Job Description :
Assist with execution of Market Conduct Audits, including conducting advisor interviews and desk file audits against mutual fund and life & health insurance regulatory requirements, and dealer policies and procedures
Completing location visits for registered advisor business addresses
Conduct pre-audit data collection and analysis for Market Conduct Audits
Actively follow up on outstanding audit findings
Support the maintenance and continuous improvement of the Market Conduct Audit program
Assist with daily review of the centralized team mailbox to address inquiries
Perform other duties and special projects as assigned time to time