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History and unique global significance of Mutual Fund Dealers
Paul C. BourqueDone
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Breakfast
Done
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Welcome Address from the Federation Chair
Robert SmukDone
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CSA Perspective
David CheopDone
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Keynote address
Kendra ThompsonDone
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It’s A Great Time To Be An Independent Wealth Management Dealer
Jeff HarvieDone
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Essential Insights for Estate Planning Management
Barbara AmsdenDone
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Leading Edge of Regulation
David Di PaoloDone
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Lunch
Done
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Cocktails!
Done
Bill is a Senior Compliance Consultant at AUM Law, with extensive knowledge and experience with wealth management and distribution firms. In his role, he provides senior level advisory services to registered individuals, firms and dealers, on all aspects of their securities regulatory compliance obligations and the implementation of securities regulatory requirements.
Bill has particular expertise in navigating compliance for Canadian Investment Regulatory Organization (CIRO) investment dealers and mutual fund dealers. He is well positioned to assist firms with understanding and navigating the opportunities and implications resulting from the recent creation of CIRO. His compliance advisory services include working with registered dealer firms, portfolio managers and investment fund managers, as well as engaging with securities regulators in connection with conduct matters, complaints, investigations, audits and remediation plans. He also provides support for the application and interpretation of complex business conduct policies and procedures.
Bill provides expert and in depth “real life” training to executive, staff and representatives of firms in areas such as identifying and mitigating conflicts of interest, KYC, KYP and assessing suitability.
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