About this role
Job Description
Build the Future With Us
Are you passionate about regulatory compliance and eager to contribute to an organization whose purpose is to help clients feel confident and secure about their future?
As a Corporate Branch Manager, you will play a key role in maintaining a strong compliance environment that protects clients, guides Advisor Teams, and strengthens confidence in the services we deliver. You will help ensure effective supervision, sound compliance practices, and practical guidance across the business.
This twelve-month position, with the possibility of becoming permanent, offers an excellent opportunity to showcase your mutual fund industry expertise, regulatory judgment, and relationship-focused approach while fully realizing your potential within a caring and trusted organization. Here, people and their development are at the heart of everything we do, fostering an environment that encourages collaboration and innovation.
What You Will Accomplish With Us
As a Corporate Branch Manager, you will be at the heart of our mission. Your key responsibilities will include:
- Maintaining and applying clear compliance policies and procedures across Advisor offices;
- Reviewing and approving new accounts through a strong client-focused and compliance-oriented lens;
- Supervising trades, advice, and registered activities in accordance with applicable regulatory expectations;
- Identifying, following up on, and escalating matters requiring further review or corrective action;
- Providing education, insight, and practical guidance to strengthen advisor and field practices;
What Could Help Accelerate Your Success in This Role
We are looking for someone who:
- Is recognized for their sound judgment and ability to interpret regulatory requirements with clarity and confidence;
- Stands out for their strong knowledge of the mutual fund industry and applicable regulatory requirements;
- Demonstrates a client-focused and service-oriented approach when providing compliance guidance;
- Is known for their ability to build strong relationships and provide practical guidance to advisors and internal partners;
- Has two to three years of compliance supervision experience and three to five years of experience in the mutual fund industry;
- Holds a university degree, preferably, or an equivalent post-secondary education;
- Has completed the Canadian Investment Funds Course, preferably with ETF and Exempt Market competencies, or the Canadian Securities Course;
- Has completed the Branch Managers Course;
Why You’ll Love Working With Us
- A work environment where learning and development are combined with a collective pursuit of excellence;
- Artificial intelligence tools are available to everyone, helping increase personal efficiency and support organizational growth;
- A healthy, safe, equitable, and inclusive workplace where individuals can freely express and develop their full potential;
- The opportunity to work in a hybrid environment, supported by flexibility and access to inspiring and innovative workspaces;
Competitive Benefits Package
- Flexible group insurance plans;
- Competitive retirement savings plan;
- Employee share purchase plan;
- Vacation program and wellness and personal development days;
- Telemedicine services;
- Employee and Family Assistance Program;
- Ergonomic furniture program;
- Performance bonus program;
- Discounts on iA products;
- And much more!
Apply Today and Take the Lead in Your Career
Join a place where your talent truly matters.
Not Sure About Applying?
At iA, we believe in potential and value diverse experiences. If this opportunity inspires you, we encourage you to apply. Your place may be with us, and we would love to get to know you.
The typical hiring range for this position is 58 422$ to 92 583$ CAD per year. The offered base salary may vary depending on factors such as job-related knowledge, skills, years of experience, and internal equity. At iA, we are committed to providing a fair, equitable, and market-based compensation structure. Our market data is updated annually to reflect the most current market conditions.
## Location(s)
Vancouver / 988 Broadway West
Other Possible Location(s)
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## Company
Investia Financial Services Inc.
## Posting End Date
2026-10-12
Company Overview
iA Financial Group* is the strength of a company with a human side, with its over 8,000 employees. Together, we have earned the trust of our more than four million clients and 25,000 advisors who have chosen us for their insurance, savings, and wealth management.
With over $200 billion in assets and half a billion invested in technological innovation, we’re a key player in the financial services industry in Canada and the United States. The secret to our success? Investing in you, one person at a time. Because, for over 125 years, we have believed that it’s by supporting our employees and surrounding ourselves with the most reputable leaders in the industry, we will continue to innovate.
At iA, we’re invested in you.
* iA Financial group includes of the following entities: iA Services financiers, iA assurance auto et habitation, iA Gestion privée de patrimoine, PPI Management, Investia, iA Gestion de placements, Prysm, iA Clarington, Michel Rhéaume et associés, Garanties Nationales, WGI Manufacturing, WGI Service Plan Division, Lubrico, iA Financement auto
Our Commitment to Diversity and Inclusion
At iA Financial Group, we support and celebrate diversity. We strive to provide a workplace that is recognized as inclusive for all, regardless of ethnic origin, nationality, language, religious beliefs, gender, sexual orientation, age, marital status, family situation, or physical or mental disability.
Please note that if you need help or assistance to make the recruitment process more accessible for you, please Contact us here . Someone from our team will be happy to assist you with your needs.