Jonathan Moncrieff
Global Chief Risk Officer and Compliance Officer @ Fiera Capital
About
Strategic, outcome‑driven legal and risk executive with more than 20 years of global experience guiding organizations through complexity, ambiguity, and transformation. Proven track record of building and elevating high‑performing teams, strengthening enterprise‑wide risk posture, and shaping resilient governance frameworks. Recognized for cultivating trusted stakeholder relationships grounded in expertise, transparency, and principled advocacy.
Canada
Toronto
Financial Services
Program Building, Risk Management Framework, Risk Management, Team Leadership, Financial Advisory, Global Regulatory Compliance, Compliance Advisory, Leadership, Regulatory Compliance, securities law, Remediation, compliance framework, Regulatory Submissions, Corporate Law, Mergers, Corporate Finance, Securities, Corporate Governance, Private Equity, Cross-border Transactions
Experience

Global Chief Risk Officer and Compliance Officer
As Global Chief Risk and Compliance Officer, Jonathan is responsible for developing and managing Fiera’s enterprise risk management program, which is designed to establish the principles and framework that guide Fiera’s risk management approach, culture, and values. He is also charged with developing and executing the firm’s compliance program and strategy on a global basis and for overseeing the program’s implementation throughout the jurisdictions in which Fiera operates.

Global Chief Compliance Officer
Toronto, Ontario, Canada
Responsible for developing and managing Fiera’s compliance program and strategy on a global basis and overseeing the program’s implementation throughout the jurisdictions in which the Fiera group of companies operates.

Managing Director and Associate General Counsel, Personal and Commercial Banking
Toronto, Ontario, Canada
Key member of the Canadian Personal and Commercial (P&C) Legal and Regulatory Compliance (LRC) Leadership Team, leading the professionals who comprised BMO’s P&C legal team. • Initially hired to lead the commercial and business banking legal team to support BMO’s growth aspirations. Subsequently promoted to also manage the personal banking team. • Accountable for all legal advice provided to P&C businesses, including retail banking, regulatory, merchant banking, strategic acquisitions, treasury and payment solutions and special accounts management unit.

Associate General Counsel and Managing Director, Business and Commercial Banking
Toronto, Canada Area
Key member of BMO's legal an compliance leadership team, leading the professionals who comprised BMO’s Canadian Commercial Banking Legal team. • Accountable for all legal advice provided to the businesses, including business and commercial banking, regulatory, merchant banking, strategic acquisitions, treasury and payment solutions and special accounts management unit.

Managing Director and Head of U.S. Wealth Management Compliance
Greater Chicago Area
Member of the U.S. Compliance Leadership Team, leading the legal and regulatory compliance professionals who comprised U.S. Wealth Management Compliance (US WM). Concurrently led the Volcker Rule Compliance Office (VCO). • Accountable for regulatory compliance and stewardship of BMO's US WM and enterprise-wide Volcker Rule compliance programs, reporting to U.S. Risk Management Committee.

Managing Director & Enterprise Head of the Volcker Rule Compliance Office
Toronto, Canada Area
Member of the U.S. Compliance Leadership Team and led the compliance professionals who comprised BMO’s VCO. • Accountable for regulatory compliance and oversight of BMO's enterprise wide Volcker Rule Compliance program.

Senior Legal Counsel & Vice President,
Toronto, Canada Area
• Provided trusted and practical legal advice to a broad array of Capital Market’s businesses, including trading products, equity capital markets, debt capital markets, M&A advisory and merchant banking. • Assessed BMO’s global trading operations for Volcker Rule compliance, and (ii) helped launch and document BMO’s Volcker Rule Compliance Program.
Jonathan Moncrieff's Contact Information
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