Chief Compliance Officer
About.
Erica started with Vancity Investment Management in 2015, working with MFDA and IIROC advisors in a supervisory capacity. She holds her Certified Financial Planner (CFP) as well as her Chartered Investment Manager (CIM) designations. Erica has been working in the financial services industry for over 20 years. She has enjoyed working in several different roles however, for the majority of this time she has been focusing on compliance.
Erica is responsible for the compliance at Vancity Investment Management. Her primary focus is ensuring that it works within the parameters set out by the various industry regulators.
Whether you’re an individual or an association, union, non-profit, foundation, or trust, we’ll help you invest in ways that strengthen your financial future and positively impact your community and the world.