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TD

AVP, Compliance, Trade Surveillance and Communications, TDS

TD
TD Centre - South - 79 Wellington Street West, United Statesfull_timeVerifiedPosted 7 Dec 2024
💰 $200,000/yr($145,000/yr$200,000/yr)

About the role

Work Location:

Toronto, Ontario, Canada

Hours:

37.5

Line of Business:

Compliance

Pay Details:

$145,000 - $200,000 CAD

TD is committed to providing fair and equitable compensation opportunities to all colleagues. Growth opportunities and skill development are defining features of the colleague experience at TD. Our compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role. The base pay actually offered may vary based upon the candidate's skills and experience, job-related knowledge, geographic location, and other specific business and organizational needs.

As a candidate, you are encouraged to ask compensation related questions and have an open dialogue with your recruiter who can provide you more specific details for this role.

Job Description:

Department Overview:
The Global Compliance Department is responsible for overseeing regulatory compliance across TDBG in accordance with the Global Compliance Operating Framework. The team is accountable for promoting regulatory compliance by developing and maintaining compliance programs, including identifying and disseminating regulatory developments to businesses they support, maintaining Compliance policies, managing complaints and regulatory filings, providing relevant training, carrying out independent monitoring and oversight activities, reporting on the state of compliance to the Board, UDP and senior management, as needed, and providing advice and support, as required.

Job Details:

The AVP, Compliance, Trade Surveillance and Communications, TDS (Canada) reports to the TDBG Managing Director and Global Head of Surveillance for TD Securities and to the Chief Compliance Officer for TD Securities. .

Individual Accountabilities:

•    Lead a team of compliance professionals responsible for overseeing, reviewing and enhancing the surveillance program for the market abuse and electronic communications for their respective regional lines of TD Securities (TDS), TD Cowen and TBSM.

•    As a leader of change and a culture-carrier for excellence and continuous improvement, lead reviews of the current program and work with key stakeholders (Advisory Compliance, Technology, and 1LoD business and risk and control partners) to enhance the program consistent with regulatory expectations (e.g., CIRO).
•    Lead, develop and grow the current team through a period of change and growth in the Compliance Surveillance program,
•    Assist with responses to regulatory enquiries or investigations or consultations regarding market abuse, disorderly trading, insider trading pertaining to TDS business
•    Execute mandate in accordance with TD Global Compliance Department Mandate and the Regulatory Compliance Management Program
•    Lead global quarterly meetings with all the regional compliance teams by sharing and discussing key risks and trends identified through surveillance.
•    Assist in maintaining, designing and creating surveillance procedures to ensure compliance oversight align with Compliance departmental expectations including documenting detailed review procedures and ensuring high quality analyst review (and related documentation) of sophisticated surveillance technology (Trade and Comms).
•    Lead the regional implementation of the global strategy and roadmap for the development and enhancement of the surveillance platforms.

•    Lead the US team in performing calibration and tuning of surveillance, and quality assurance of alerts reviewed by analysts. 
•    Create strategic focus and actively manage Communications and Trade Surveillance systems, policies, and procedures to produce a more effective program on a sustained basis.
•    Lead and collaborate with business group teams to periodically assess alerting policies, configurations, lexicons to drive surveillance enhancements.
•    Coordinate and participate in vendor/client roundtable forums and industry conferences/events focused on surveillance.
•    Lead the documentation and enhancement of policies and procedures to ensure the program is suitably documented and evidenced.

Key Shared Accountabilities:

•    Set "tone at the top" in support of a strong risk & compliance culture within Compliance and across the enterprise.
•    With business and other Risk partners promote a strong governance & control environment with periodic assessments against industry practices
•    With Risk, ensure that the Bank operates within the compliance risk appetite and that operational risk from a Compliance standpoint is being effectively mitigated, assessed, and managed.
•    Keeps current on emerging risks, trends and

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