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Senior Compliance Advisor
iA Financial Group (Industrial Alliance). Support the Sector Compliance Manager in implementing and enhancing legal and regulatory risk management programs .
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in legal and regulatory risk management within the property and casualty insurance industry, with strong analytical skills to assess compliance risks and develop effective action plans. Proficient in advising stakeholders and managing compliance programs in a collaborative and autonomous manner.
Highest-signal resume keywords
Regulatory Risk ManagementLegal ComplianceRisk AssessmentStakeholder AdvisoryProperty and Casualty Insurance
ATS Keywords
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Hard Skills
Regulatory RequirementsRisk Profile DevelopmentCompliance Program DeploymentIncident Action PlanningRegulatory Change Impact Assessment
Soft Skills
Analytical SkillsCollaborative MindsetSound JudgmentOrganizational SkillsInfluencing Stakeholders
Certifications & Qualifications
Bachelor's Degree in LawMember of the BarMember of the Chamber of Notaries
Industry Keywords
Property and Casualty InsuranceFinancial ServicesCompliance RisksAutorité des Marchés FinanciersRegulatory Guidelines
About the role
Key responsibilities & impact- Support the Sector Compliance Manager in implementing and enhancing legal and regulatory risk management programs
- Contribute to applying regulatory requirements, applicable legislation, and guidelines issued by the Autorité des marchés financiers (AMF)
- Develop a comprehensive view of compliance risks and contribute to creating the organization's risk profile
- Design and monitor indicators to identify non-compliance issues and significant risks
- Advise and support business sectors in managing legal and regulatory risks and deploying compliance programs
- Assess impacts of regulatory changes and recommend necessary actions
- Contribute to reporting activities and regulatory risk assessments related to projects
- Develop action plans resulting from incidents or non-compliance issues
- Serve as a resource person for the team
- Represent the organization on committees, working groups, and industry consultations
- Contribute to the development of other compliance advisors within the team
Requirements
What you’ll need- 7 to 10 years of experience in property and casualty insurance or the financial services industry, including experience in a risk management-related role
- Bachelor's degree in Law
- Member of the Bar or the Chamber of Notaries
- Strong analytical and synthesis skills in assessing legal and regulatory risks
- Ability to advise and influence stakeholders in a risk management and compliance environment
- Sound judgment, rigor, and an objective, impartial approach
- Collaborative mindset and ability to balance differing perspectives
- High level of autonomy and excellent organizational skills
- Ability to effectively manage priorities in an evolving environment
- Knowledge of the property and casualty insurance industry
- Advanced level of proficiency in French
Benefits
Comp & perks- Flexible group insurance plans
- Competitive retirement savings plan
- Employee share purchase plan
- Vacation program, wellness days, and personal development days
- Telemedicine services
- Employee and Family Assistance Program (EFAP)
- Ergonomic furniture program
- Performance bonus
- Discounts on iA products
- Learning and development opportunities
- Hybrid work environment with flexibility and access to innovative workspaces
- Healthy, safe, equitable, and inclusive work environment
- Artificial intelligence tools to support personal effectiveness and organizational growth