Compliance Legal Counsel at Redpath Mining Contractors and Engineers at Redpath Mining Contractors and Engineers — NeverHard
Compliance Legal Counsel at Redpath Mining Contractors and Engineers at Redpath Mining Contractors and Engineers in Vaughan, York region. Apply on NeverHard.
Company
Redpath Mining Contractors and Engineers
Location
Vaughan, York region
Type
full_time
Redpath Mining Contractors and Engineers in Vaughan, ON, CA. This Full time on site position offers great opportunities for career growth. Redpath is a rapidly growing organization that is going through an exciting organizational and systems transformation, and is creating a Compliance Audit Function with the purpose of ensuring that the organization adheres to, and evidences compliance with, all relevant laws, regulations, and internal policies across each of the business units.
The role has evolved from a primarily audit-support position into a legal and compliance governance role supporting the General Counsel / Chief Compliance Officer across RMI legal matters, compliance program implementation, privacy and data governance, internal investigations, training, vendor risk, and escalation of legal and compliance risk. We are recruiting for a Compliance Legal Counsel with a legal background, who will be responsible for supporting the Compliance department, monitoring adherence to legal and regulatory requirements, conducting compliance reviews and audits as required, and collaborating with departments to address and resolve compliance issues.
The role also provides first-instance legal support on assigned RMI contractual matters, including MSAs, SOWs, NDAs, DPAs, vendor terms, liability provisions, subcontracting clauses, privacy obligations, and related commercial-risk allocation.
Salary Range CAD120,000 to CAD140,000
Key Responsibilities
Assist in mapping existing compliance policies and procedures to ensure comprehensive understanding and documentation of the compliance framework, focusing on legal aspects of the policies.
Support the development and implementation of a testing matrix or solution for identified compliance obligations, ensuring effective monitoring across legal and regulatory requirements globally.
Organize and analyze historical data, including internal audit results, to support compliance initiatives and identify areas for legal and operational improvement.
Contribute to the creation of internal audit conclusions and reports, disseminating findings to management for timely communication of compliance status and potential legal ramifications.
Participate in root‑cause analysis of audit failures, proposing corrective measures to address identified issues and support compliance with legal standards.
Assist in developing yearly integrated audit reports that summarize audit activities, findings, and corrective actions while addressing both legal compliance and broader organizational needs.
Maintain a historical audit repository, tracking trends and analyzing data to support continuous improvement and informed strategic decision‑making.
Facilitate the creation of compliance reports compatible with ESP requirements and other reporting standards.
Contribute to ongoing updates of compliance policies and procedures to reflect current regulations, legal standards, and organizational needs.
Assist in preparing annual compliance reports, highlighting key activities, findings, and improvements related to both compliance and legal obligations.
Collaborate with external auditors to facilitate audits, ensuring effective communication and resolution of identified legal or compliance issues.
Support the GC/CCO in the development, implementation, interpretation, and maintenance of Redpath compliance directives, policies, procedures, standards, and program documentation.
Maintain and update compliance registers, action trackers, governance records, and evidence of completion for assigned compliance deliverables.
Prepare, review, and improve compliance presentations, training materials, policy summaries, employee communications, and governance memoranda.
Support management of compliance reporting processes, including evidence collection, status tracking, follow up with stakeholders, and preparation of materials for management or board‑level review.
Legal and Contract Support
Review, draft, and negotiate assigned RMI commercial agreements, including MSAs, SOWs, NDAs, DPAs, vendor terms, SaaS agreements, technology agreements, service agreements, and related contractual documentation.
Identify, assess, and elevate contractual issues involving limitation of liability, indemnities, warranties, confidentiality, data protection, cybersecurity, subcontracting, insurance, intellectual property, termination rights, governing law, dispute resolution, and change‑control risk.
Provide first‑pass legal reasoning and recommended positions on contractual deviations, including where business approval, GC approval, or a formal risk‑acceptance decision may be required.
Challenge vendor positions where proposed terms are inconsistent, unsupported, incomplete, commercially unreasonable, or misaligned with Redpath governance requirements.
Verify contractual changes, identify hidden or undocumented changes, request editable or comparable versions where required, and ensure that legal review is based on reliable document control.
Privacy, Data Protection, AI and Technology Governance Support
Redpath’s GDPR‑baselined privacy program, including controller/processor analysis, employee privacy, vendor processing, subprocessors, data‑transfer considerations, data‑processing safeguards, and privacy‑related contractual controls.
Review DPAs, privacy terms, vendor questionnaires, employee privacy notices, cybersecurity‑related tools, AI‑enabled systems, and technology arrangements that may involve employee data, personal information, monitoring, security filtering, or automated processing.
Support the development and implementation of employee privacy, AI‑use, cybersecurity, system‑access, and technology‑governance policies or communications in coordination with IT, HR, Compliance, and Legal.
Assess privacy and governance implications of tools such as security monitoring, AI‑assisted systems, email security, data‑loss prevention, and access‑management workflows, and escape matters requiring GC/CCO or senior‑management approval.
Compliance Governance, RCO Support and Investigations
Support the structure and administration of Regional Compliance Officer and Local Compliance Officer frameworks, including role clarity, independence, reporting expectations, training, appointment processes, and escalation requirements.
Assist in reviewing and updating the compliance program, including the Code of Conduct, sanctions policy, modern slavery materials, reporting procedures, compliance directives, policy acknowledgements, and training requirements.
Support compliance investigations, fact gathering, issue framing, document review, privilege‑sensitive communications, remediation tracking, and preparation of investigation‑related memoranda as assigned by the GC/CCO or Compliance Committee.
Assist with the assessment of HR/legal/compliance overlap, including governance gaps, escalation thresholds, internal accountability, and appropriate framing of sensitive issues.
Provide compliance training and guidance to targeted employee groups, Regional Compliance Officers, business units, and functional stakeholders as required.
Audit, Monitoring and Reporting Function Support
Support the establishment and ongoing development of the Audit Function, contributing to the design and implementation of a robust compliance framework.
Draft internal regulations governing the audit function to create clear guidelines and procedures that align with legal requirements and best practices.
Support the mapping of compliance obligations within the program to ensure comprehensive coverage and effective management of legal and regulatory requirements.
Participate in the creation of audit plans for various audit types, outlining scope, objectives, and methodology to guide the audit process.
Aid in developing standardized audit formats and reporting templates to ensure consistency and clarity in documentation.
Collaborate on methodologies for gathering information needed for internal compliance reporting, ensuring alignment with legal requirements.
Contribute to the creation and maintenance of audit calendars and compliance activity timelines.
Assist in developing methodologies for tracking historical data and linking business‑unit performance with corrective actions and parent‑company reporting requirements.
Execute audits or compliance reviews in all business units remotely or onsite as required.
Coordinate with Internal Audit, Finance, HR, IT, Operations, and regional management where legal/compliance input is required to support audit remediation, issue tracking, or governance reporting.
Additional Responsibilities / Opportunities
Perform functionally separate internal compliance investigations for regional compliance officers as assigned by the Compliance Committee.
Assist in updating and maintaining the existing compliance program to ensure its effectiveness and relevance.
Provide face‑to‑face training to targeted groups within Redpath entities to enhance compliance awareness and understanding.
Support modern slavery, sanctions, anti‑corruption, conflicts of interest, privacy, AI, cybersecurity, employee‑policy, contractor‑risk, and vendor‑risk initiatives as assigned.
Assist in the preparation of board, executive, management, and stakeholder materials relating to compliance governance, legal risk, policy implementation, and program maturity.
Support transition, knowledge‑management, and institutional‑recordkeeping processes for legal and compliance matters.
Qualifications and Experience
Master’s Degree (Preferred) in Legal Studies (LLM), Compliance and Risk Management, or a related field.
Certifications such as RIMS CRM or GRCP are an asset.
Member of the Bar Association or Law Society from any jurisdiction is an asset.
Commercial lawyer with experience in acting as a compliance officer is preferred.
Minimum of 2-5 years’ experience in legal, compliance, commercial contracting, privacy, governance, internal audit, risk management, or related corporate functions.
Experience leading a full‑cycle audit process is desirable but not the sole focus of the role.
Experience reviewing commercial agreements, vendor terms, SaaS agreements, DPAs, privacy obligations, cybersecurity clauses, liability provisions, and risk‑allocation language is preferred.
Experience with compliance programs, policy implementation, training, internal investigations, privacy/data protection, AI or technology governance, and cross‑functional stakeholder management is an asset.
German proficiency is desirable.
Skills & Competencies
Continuous improvement and development orientation, desire to learn, openness to new and better ways of doing things, accountability, adaptability, engagement, contribution, and passion for high‑quality performance.
Self‑motivated, self‑starter, and self‑accountable.
Ability to analyze complex regulatory documents, audit findings, and compliance data.
Ability to work both independently and collaboratively across various functional teams.
Strong written and verbal communication skills for preparing reports, delivering training, and interacting with stakeholders.
Skills in managing compliance‑related projects, developing audit plans, and ensuring timely execution.
Ability to work in a complex business environment with competing priorities.
Understanding of industry‑specific regulations and compliance requirements.
Strong attention to detail and proven precision in mapping policies, developing reports, and conducting compliance reviews.
Ability to present and articulate analytical results and facilitate decision‑making by senior management.
Ability to develop first‑instance legal and compliance analysis before escalation, including the issue, relevant parties, legal relationships, source of obligation, risk, recommendation, and specific point requiring GC/CCO input.
Ability to exercise sound judgment in distinguishing legal requirements, internal policy obligations, business preference, operational convenience, and matters requiring approval or risk acceptance.
Proactive communication style, including timely responses, appropriate follow‑up questions, identification of blockers, and escalation of uncertainty before action is taken.
Strong drafting discipline, including ability to prepare clear memos, policies, presentations, contract comments, issue summaries, and decision‑oriented recommendations.
Ability to work with confidential, sensitive, privileged, or business‑critical information with appropriate discretion, judgment, and record‑keeping.
Additional Information
Travel for audits, training, compliance reviews, investigations, stakeholder meetings, or business‑unit support may be required.
Overtime may be required based on deadlines, audits, investigations, reporting cycles, or urgent legal/compliance matters.
The role requires regular interaction with the GC/CCO and requires sufficient proximity, responsiveness, preparation, and engagement to support legal and compliance deliverables effectively.
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