The Compliance and Regulatory team at Harbourfront Wealth Management ensures that the company adheres to all legal and regulatory requirements governing the financial services industry. This team is responsible for monitoring compliance policies, conducting regular audits, managing registrations, and developing training programs, thereby safeguarding the firm's reputation and maintaining investor trust while fostering a culture of accountability and ethical conduct.
Ankhchimeg Baasankhu...
Registrations & Compliance Spe...
Bba Timothy Newton C...
Compliance Officer
Calder Ellis
Chief Compliance Officer
Cim Cassandra Grist
Manager, Compliance Supervisio...
Hfw Compliance
Compliance
Lesley Walters-Saghe...
Director Of Compliance Supervi...
Michael Norris
Compliance Officer
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