Donna J. Mack

Donna J. Mack

Corporate Compliance Manager @ IG Wealth Management

About Donna J. Mack

Donna J. Mack serves as the Corporate Compliance Manager at IG Wealth Management in Calgary, Alberta, a position she has held since 2018. She has a background in finance and compliance, with previous roles at the Investment Industry Association of Canada.

Work at IG Wealth Management

Donna J. Mack has served as the Corporate Compliance Manager at IG Wealth Management since 2018. In this role, she oversees compliance with regulatory requirements and internal policies, ensuring that the organization adheres to industry standards. Her position is based in Calgary, Alberta, where she has contributed to the company's compliance framework for six years.

Previous Experience in Compliance

Before joining IG Wealth Management, Donna worked at the Investment Industry Association of Canada, formerly known as the Investment Dealers Association (IDA). She held the position of Sales Compliance Officer from 2002 to 2005, where she focused on compliance related to sales practices. Additionally, she served as a Complaints Inquiries Officer from 2000 to 2002, handling inquiries and complaints within the industry.

Education and Expertise

Donna J. Mack holds a Bachelor of Commerce degree in Finance from The University of Calgary, where she studied from 1995 to 1997. Prior to this, she completed a University Transfer Program in Bachelor of Commerce at Mount Royal College from 1992 to 1995. Her educational background provides a solid foundation for her expertise in compliance and finance.

Background in Calgary, Alberta

Donna has spent her professional career in Calgary, Alberta, where she has gained extensive experience in compliance within the financial services sector. Her roles at both IG Wealth Management and the Investment Industry Association of Canada reflect her commitment to maintaining high standards of compliance in the industry.

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