The Audit committee's responsibilities include:
The Governance committee’s responsibilities include:
The Governance Committee consists of three directors, all of whom are independent for the purposes of the Canadian Securities Administrators' Multilateral Instrument 58-101 – Disclosure of Corporate Governance Practices.
We operate with Board-approved policies for Disclosure, Code of Business Ethics and Conduct, Insider Trading and Workplace Harassment, Sexual Harassment, Violence, and Discrimination. Our Whistleblower Policy ensures all directors, officers and employees have the means to report misconduct with financial matters in confidence.
National in scope, local in focus.
We are proud to operate from regional offices across Canada, each staffed by lending specialists dedicated to delivering value to all stakeholders.