Marie-Claude Lepage

Chief Compliance Officer (usa) at Mawer Investment Management

Marie-Claude Lepage currently serves as Chief Compliance Officer and Head of Risk Management at Mawer Investment Management, a role held since June 2021. Prior to this position, Marie-Claude was with BNY Mellon Wealth Management from July 2012 to June 2021, where responsibilities included serving as Head of Compliance for International Wealth Management and Chief Compliance Officer. Marie-Claude holds credentials from the CFA Institute and is an alumnus of McGill University.

Location

Toronto, Canada

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Mawer Investment Management

Founded in 1974, Mawer Investment Management Ltd. (pronounced "more") is a privately owned, independent investment firm, managing approximately $90.4 billion in assets for institutional and individual investors across all major investment strategies. We employ over 250 people in Canada, the U.S., and Singapore. For over 50 years, we have provided investment management for our clients using our “boring” investment approach. This approach has helped our clients safely and profitably navigate the investing landscape over many economic cycles. Our mission is to be our clients’ most trusted investment manager by delivering long-term investment excellence, building strong client partnerships, and making a commitment to do the right thing—always. We are dedicated to investing in our people and our communities. This commitment has earned us recognition as a top employer, including being named one of Canada’s Top 100 Employers (2025), Alberta Top Employers (2024), and Canada’s Top Small & Medium Employers (2024).


Headquarters

Calgary, Canada

Employees

201-500

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