Compliance Manager, Canada
Transak
- Toronto, ON
- Permanent
- Full-time
- Apply for, maintain, and vary regulatory licenses in accordance with business requirements.
- Act as main point-of-contact with FINTRAC (Financial Transactions and Reports Analysis Centre of Canada)
- Maintain compliance and AML policies, risk assessments, and control frameworks.
- Ensure accurate, complete regulatory submissions.
- Maintain compliance registers and evidence libraries.
- Advise internal teams on licensing constraints and regulatory expectations.
- Receive, assess, and investigate suspicious activity escalations.
- Draft and file SARs/STRs with structured, evidence-based narratives.
- Identify financial crime patterns and typologies.
- Conduct thematic reviews and risk assessments.
- Maintain SAR documentation and ensure timeliness.
- Oversee high-risk KYB, corporate/OTC KYB, and EDD workflows.
- Conduct 4-eye reviews on critical decisions and token listing due diligence.
- Ensure process consistency across monitoring, screening, and onboarding.
- Maintain audit-ready documentation and evidence quality.
- Calibrate country level requirements for PEPs & sanctions screening.
- Review escalated sanctions/PEP cases and determine true/false matches.
- Lead escalation to regulators when necessary.
- Support sanctions rule tuning and ongoing improvements.
- Act as primary contact for regulators and auditors.
- Manage inspections, audits, thematic reviews, and information requests.
- Provide structured, comprehensive documentation.
- Maintain proactive, transparent regulatory relationships.
- Define AML/CFT, sanctions, and licensing requirements for new features.
- Translate regulatory obligations into technical specifications and acceptance criteria.
- Review product changes for compliance implications.
- Support validation/testing of product workflows for correct control functioning.
- Maintain ongoing awareness of upcoming regulatory changes and prepare the business for new requirements in a timely manner.
- Provide compliance guidance to Operations, Product, Engineering, Risk, Customer Support.
- Tailor communication of regulatory requirements to audience expertise.
- Represent Compliance internally as SME in critical discussions and planning.
- Deliver AML/CFT, sanctions, and risk-awareness training.
- Promote consistent documentation standards and escalation behaviors.
- Model sound judgement, integrity, and proportional decisioning across teams.
- Support the Group Head in maintaining the Transak Group Compliance Program.
- 5–7+ years in AML/CFT, compliance, or financial crime.
- Experience as MLRO, Deputy MLRO, or senior Compliance Officer.
- Demonstrated experience managing licenses/regulatory obligations in the target jurisdiction.
- SAR/STR drafting experience; strong investigative ability.
- Experience handling audits, inspections, regulator interactions.
- Demonstrates the ability to marry regulatory requirements with business objectives to maximize revenue while keeping within risk appetite.
- Crypto experience.
- ICA/ACAMS certification.
- Blockchain analytics exposure.
- Experience in product compliance or technical environments