Chief Compliance Officer and Chief Anti-Money Laundering and Anti-Tax Evasion Officer
Oversees manufacturing regulatory compliance for the Wealth Management and Life and Health Insurance sector:
- Establishes an effective management framework for manufacturing regulatory compliance in the Wealth Management and Life and Health Insurance sector using a risk-based approach and develops required guidelines
- Supervises and coordinates monitoring by regulatory authorities, and follows up as needed
- Trains and advises the business sectors and governing bodies on regulatory compliance
- Reports to internal governing bodies and regulators
Mylène Sabourin has over 20 years of experience in the insurance and financial services industry. She holds a Licentiate in Law (LLL) from the University of Ottawa and a master's degree in law (LLM) from UQAM.