IF

iA Financial Group (Industrial Alliance)

Verified Job Source

iA Financial Group is a leading Canadian insurance and wealth management company, established in 1892, with operations extending into the United States.

Québec, Québec

Financial Services
5,001+ people

About

iA Financial Group is one of the largest insurance and wealth management groups in Canada, with operations in the United States. Founded in 1892, it is an important Canadian public company and is listed on the Toronto Stock Exchange under the ticker symbols IAG (common shares) and IAF (preferred shares).

Open positions

Regulatory Compliance Officer

Hybrid · Montréal

The Regulatory Compliance Officer will interpret regulatory requirements to provide practical guidance to business partners and lead key regulatory projects. They are also responsible for managing anti-money laundering investigations, privacy incident reporting, and the drafting of internal policies and procedures.

Regulatory Compliance Officer

Hybrid · Québec

The officer will provide expert regulatory guidance to dealer teams and lead compliance projects, including policy drafting and training development. Key duties include investigating privacy incidents, conducting AML investigations, and reviewing service and distribution agreements.

Litigation Specialist, Life and Disability Claims

Hybrid · Montréal

Manage a portfolio of litigation and dispute cases in partnership with legal departments and external attorneys. Provide guidance on complex disability cases and represent the company during discovery, mediation, and trials.

Litigation Specialist, Life and Disability Claims

Hybrid · Montréal

The Litigation Specialist manages a portfolio of disability litigation cases in partnership with legal departments and external attorneys. They represent the company in legal proceedings, provide guidance on complex claims, and facilitate communication between departments.

Chief Compliance Officer

Hybrid · Québec

The Chief Compliance Officer is responsible for designing and maintaining the compliance framework to ensure adherence to securities legislation and internal policies. The role involves overseeing portfolio compliance, managing operational risk for the investments sector, and leading the compliance team.

Chief Compliance Officer

Hybrid · Montréal

The Chief Compliance Officer is responsible for designing and maintaining the compliance framework to ensure adherence to securities legislation and internal policies. This role involves leading the compliance team, overseeing portfolio investment activities, and managing operational risks while collaborating with legal services and senior leadership.

Legal Counsel – Corporate and Transactional Affairs

Hybrid · Montréal

The Legal Counsel will act as a primary advisor on mergers, acquisitions, divestitures, and strategic corporate reorganizations. They will also manage regulatory filings, draft corporate documents, and provide legal opinions on complex financing matters.