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AML & FINTRAC Compliance Certification Program

About

This professional certification program provides a comprehensive breakdown of Canada's Anti-Money Laundering (AML) and Anti-Terrorist Financing (ATF) requirements. Grounded in the PCMLFTA and FINTRAC guidelines, participants will learn the three stages of money laundering, regulatory roles of CIRO and OSFI, and strict KYC and reporting obligations. The course covers risk-based approaches, common typologies like structuring and shell corporations, and the five pillars of a compliance program. Practical simulations and case studies prepare advisors to identify red flags, manage electronic funds transfer reports, and understand the administrative monetary penalties (AMPs) for non-compliance.

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Price

Advisor Growth Plan, CA$29.99/month

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The information provided on this website is for educational purposes only and is not intended as financial, legal, or tax advice. Advisors should consult their dealer and compliance department before acting on any information. MyAdvisor Group is not responsible for errors or omissions, or for results obtained from the use of this information.

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