Graduate Certificate in Financial Services - Compliance and Risk

George Brown College - St. James Campus

Canada,Ontario

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12 Months

Duration

CAD 18,900/year

Tuition Fee

CAD 110 FREE

Application Fee

Apply Date

Canada, Ontario

Type: College

Location Type: Urban

Founded: 1967

Total Students: 32,117 +

Int. Students: 4,900 +

Campus Detail

Main Campus Address

200 King St E, Toronto, ON M5A 3W8, Canada

Graduate Certificate in Financial Services - Compliance and Risk

Program Overview

Prepare for in-demand positions in the financial services industry with the Financial Services – Compliance and Risk (B434) postgraduate program. Classes run at St. James Campus, just blocks from Bay Street in Toronto’s Financial District, the heart of Canada’s financial center.

This distinct one-year program, developed with leading industry experts, empowers students to address the principles and issues surrounding compliance and risk in financial institutions. It takes a holistic approach to compliance and its relationship with key stakeholders by balancing practical and strategic solutions against increased regulatory oversight, technological complexity and ethical concerns. Students explore a range of courses, including Anti-Money Laundering (AML), Regulatory Oversight of Financial Products, Advanced Topics in Regulatory Compliance, Risk Management and Strategic Decision-Making and more.

Students will have access to market-leading compliance technology, prepare policies, filings and automated solutions to address current issues, delve into areas of possible specialization, and gain the skills and knowledge needed to succeed in a compliance or risk career in the financial services sector.

Completing this certificate program does not provide an automatic pathway to earning a professional credential or certification from a professional body.

Program Learning Outcomes

The graduate has reliably demonstrated the ability to:

  • Write compliance policies in accordance with Canadian legal and regulatory requirements and bes practices in policy management.
  • Assess practices within the financial services sector to suggest process improvements that meet governing and regulatory body requirements.
  • Conduct oneself ethically and in adherence with environmental, social and governance principles to meet industry expectations and regulatory standards.
  • Utilize strategic decision making, accounting forensics and financial investigative techniques to mitigate fraud and compliance issues in financial markets.
  • Communicate and collaborate with stakeholders to build appropriate controls for compliance monitoring, fraud detection and related reporting
  • Use personal strategies to maintain, improve, and promote professional competence and development within the field of compliance.
  • Implement principles of project and change management to adapt organizational practices in accordance with evolving regulatory requirements, legislation and corporate initiatives.
  • Implement data protection and privacy laws for client or organizational information to ensure confidentiality and safeguard sensitive information.
  • Use technology and compliance tools to locate, assess, analyze and interpret financial data.
  • Evaluate financial transactions for digital financial crimes and cyber crime including anti-money laundering to mitigate risk.

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English Requirement: IELTS TOEFL PTE DUOLINGO 

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