Position Overview
Job Summary
Branch Supervisor – Regulatory Compliance. Perform supervisory functions and oversee Approved Persons that sell mutual funds and life insurance products in the Toronto, ON market.
Responsibilities
- Pre‑trade Know Your Client (KYC) review of new and existing approved persons.
- Interact with clients in a licensed capacity to facilitate transactions when an Approved Person is unavailable or it is not feasible for the client to work with the Approved Person.
- Tier‑1 Trade Reviews – Post‑trade review of transactions.
- Provide support and act as an information resource for Approved Persons.
- Learn and understand WFGS policies and procedures and provide support to Approved Persons and direct other resources as appropriate.
- Review and report as required by any approved person who may be subject to supervisory requirements, including initial Outside Business Activities (OBA) in keeping with WFG Securities, I...