Lison has more than 20 years of compliance experience with banks, brokerage firms, asset managers (portfolio management and mutual funds), and regulators. She leads and oversees iAGAM’s compliance function. She is also responsible for establishing and managing the firm’s compliance framework in accordance with its policies, procedures, and regulations while promoting an exemplary compliance culture. Prior to joining iA, Lison held a variety of compliance roles at RBC, Bourse de Montréal, IIROC, and Desjardins, among others. She holds an executive MBA from ESG-UQAM and Paris-Dauphine universities as well as the CAMS designation for Certified Anti-Money Laundering Specialists.
“I am proud to be part of a company with strong integrity and reputation, that is results-oriented and focused on efficiency and excellence.”