Winnie Poon

Director, Compliance Risk And Reporting

Winnie Poon is an experienced compliance professional with a robust background in risk management and regulatory compliance, currently serving as the Director of Compliance Risk and Reporting at Scotiabank since June 2014. In this role, responsibilities include overseeing global compliance programs, regulatory change management, and risk assessment. Previous positions at Scotiabank include Director of GBM Internal Control and Associate Director in the Enterprise Volcker Office, dealing with major regulations such as CFTC and EMIR. Winnie Poon began a career in finance at Scotia Asset Management L.P. and Harmonic Fund Services, holding titles ranging from Senior Portfolio Operation Analyst to Senior Compliance Officer. Winnie Poon holds a Bachelor of Mathematics in Honours Actuarial Science with a Finance option and Computer Science from the University of Waterloo, graduating in 2007.

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