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Securities Registrant Compliance


Firms and individuals that make their livelihood in the Canadian capital markets generally are required to be registered with one or more securities commissions in Canada and, depending on their activities, also may be required to be members of the Canadian Investment Regulatory Organization (CIRO).
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Overview

If you are a securities dealer, a portfolio manager of securities, or a manager of investment funds, you need advice from your legal team that keeps on top of all the most recent regulatory developments and expectations for compliance by registered market participants.

Canadian securities regulators introduce new requirements for registered firms and individuals on a continuous basis.Expectations for meeting standards of conduct also continue to grow and become more detailed. Registered market participants want to remain on top of these changes in order to reaffirm their culture of compliance, reinforce their client’s confidence in their business, and avoid the cost and burden associated with regulatory investigation.

We help clients establish and update robust compliance procedures to meet these expectations. We also provide counsel when regulators review those procedures.

Our assistance extends through the entire lifecycle of clients’ businesses and includes:

  • Obtaining all necessary registrations and memberships to establish or expand a business in the Canadian securities industry.
  • Seeking exemptions based on business models or proficiency.
  • Establishing internal compliance policies & procedures, including for know-your-client (KYC), know-your-product (KYP) and suitability obligations.
  • Providing internal and client-facing documentation to implement compliance regimes.
  • Updating policies & procedures for regulatory developments, as well as ongoing advice and interpretations.
  • Providing training and seminars on compliance issues.
  • Assisting with responses to audits by securities regulators and CIRO, both routine and ad hoc.
  • Performing compliance risks assessments (mock audits).
  • Advising on remedial action for non-compliance.
  • Representing clients during regulatory investigations, prosecutions and settlements.
  • Submitting filings through the National Registration Database (NRD) to update registrations, and assisting non-Canadian firms with their Canadian filings.
  • Acquisitions and sales of registered firms.
  • Consolidation of multiple business lines, or discontinuance of a business.
  • Advising non-Canadian firms on their ability to engage with Canadian clients in circumstances not requiring a Canadian securities registration.

Our clients include:

  • Investment dealers, both full-service and order-execution only.
  • Portfolio managers, whether part of a larger investment fund complex or as a specialized boutique.
  • Exempt market dealers.
  • Investment fund managers offering public mutual funds, exchange-traded funds, alternative funds and private pooled funds.
  • Non-Canadian dealers, advisers and fund managers operating in Canada on a registration-exempt basis.

We also are members of, and volunteer considerable amounts of our time to, securities industry associations including:

  • Portfolio Managers Association of Canada
  • Securities and Investment Management Association  

  • Conseil des fonds d’investissement du Québec
  • Canadian ETF Association

We review and provide our comments to Canadian securities regulators on new regulations as they are being developed, and are always poised for the next wave of regulatory changes.

Team

Primary Contacts
  • Garth J. Foster, Partner | Mergers & Acquisitions, Toronto, ON, +1 416 868 3422, [email protected]
  • Élise Renaud, Partner | REGIONAL LEADER OF THE INVESTMENT PRODUCTS AND WEALTH MANAGEMENT GROUP, Montréal, QC, +1 514 397 7524, [email protected]
Garth Foster Toronto Lawyer Garth J. Foster Partner | Mergers & Acquisitions Toronto, ON +1 416 868 3422
Élise Renaud, Partner | REGIONAL LEADER OF THE INVESTMENT PRODUCTS AND WEALTH MANAGEMENT GROUP Élise Renaud Partner | REGIONAL LEADER OF THE INVESTMENT PRODUCTS AND WEALTH MANAGEMENT GROUP Montréal, QC +1 514 397 7524

Knowledge

  • Semi-Annual Reporting Arrives in Canada – Analysis, Commentary and What Comes Next, 12/11/2025
  • Is the Twilight of Quarterly Reporting on the Horizon? CSA Proposes a 6-Month Reporting Pilot, 10/28/2025
  • The CSA’s Overhaul of Mining Disclosure: Last Chance to Comment, 9/3/2025
  • Does the CSA’s LIFE Increase Still Fall Short for Smaller Issuers? Crunching the Numbers, 6/4/2025
  • Extra LIFE for Canada’s Capital Markets: The CSA Significantly Expands Capital Raising Under LIFE, 5/20/2025
  • Emerge IRC Under OSC Prosecution: What Does It Mean?, 5/15/2025
  • New Derivatives Business Conduct Standards for Non-Canadian Firms, 2/11/2025
  • New Derivative Business Conduct Standards for Canadian Portfolio Managers, 2/6/2025

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