Lana Majidi, CIM, currently serves as the Director of Compliance and Chief Compliance Officer at Wealthsimple since January 2022. Prior to this role, Lana held the position of Director of Regulatory Operations at the same company. Lana's career includes significant experience at Scotiabank from January 2018 to January 2022 as the Director of the Regulatory Initiatives Group in Wealth Management, along with serving as Senior Manager of Regulatory and Business Risk at Scotia iTrade. Lana also worked at CIBC from November 2015 to January 2018 as a Senior Manager in AML Investigations and previously held multiple roles at BMO Financial Group from January 2010 to November 2015, including Manager of AML Monitoring and Manager of Capital Markets AML. Lana's educational background includes an Advanced Diploma in Financial Services Management from George Brown College, obtained between 2006 and 2009.
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