Jonathan Moncrieff J.D.

Global Chief Compliance and Investment Risk Officer
Jonathan Moncrieff is Fiera Capital’s Global Chief Compliance and Investment Risk Officer. In these capacities, Jonathan is responsible for developing and managing the firm’s (i) compliance program and strategy on a global basis and for overseeing the program’s implementation throughout the jurisdictions in which we operate, and (ii) investment risk framework, including ensuring independence of investment risk management function from investment decision-making processes. He is also a member of the firm’s Global Private Wealth Executive Committee, Institutional Markets Executive Committee, Private Markets Management Committee and heads the firm’s Risk Committee.
Jonathan has over 20 years of broad risk management experience attained in jurisdictions around the globe and has a history of developing strong teams founded on advocacy, expertise, transparency, and trust. He started his career at one of Canada’s leading law firms, where he practiced public and private M&A and securities law. In 2013, he joined Bank of Montreal where he held various legal and compliance leadership positions. Of note, Jonathan was assigned to BMO’s Chicago office in 2016 to develop and oversee the bank’s enterprise-wide Volcker Rule compliance program. The following year, he was promoted to Head of U.S. Wealth Management Compliance, which he led concurrently with the Volcker Rule compliance program. In 2019, Jonathan was promoted to the role of Managing Director and Associate General Counsel, Personal and Commercial Banking.
Jonathan holds an Honors Bachelor of Commerce degree (BCom) from McMaster University and a Law degree (LLB) from the University of Western Ontario.