Ethidex enables its clients to easily and efficiently manage regulatory compliance.

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We Are Ethidex

Ethidex Inc. is a leading software solution in the area of Governance, Risk and Compliance offering custom compliance management solutions for small companies, compliance consultants and complex corporations. Equipped with tools, methodology and support, the Ethidex integrated compliance data management environment saves our clients time and money in managing and reporting on compliance.  It meets the broad spectrum of expectations of the Risk and Compliance functions, Directors, Auditors and Regulators.

 

Discover what Compliance Office™ can do for you.

Compliance Office™ is your one stop shop for facilitating compliance, risk management and audit. It is the number one system trusted by Canadian Financial Institutions to effectively respond to regulators expectations for regulatory compliance management (RCM). Compliance Office™ allows the Chief Compliance Officer to asses risk, automatically document controls to address it and verify compliance through attestations and testing.

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Compliance Office™ Dashboard

Access a high level summary of the status of compliance assessments on demand, across your organization or at the business unit level.

Explore all compliance features

reports tool

Compliance Office™ Reports tool

Easily and quickly create reports for compliance use, clients, management, board, auditors and regulators.

Explore all audit features

Over 100 financial, investment and insurance companies rely on Ethidex’ regulatory content services.

Banks and Trust & Loan

 
With the assistance of the law firm Fasken, we offer a full suite of modules to address regulatory requirements in Canada, particularly those addressing requirements overseen by OSFI, FINTRAC and FCAC. In Canada Fasken is represented by Fasken Martineau DuMoulin LLP

Insurance companies

 
With the assistance of the law firm McMillan LLP, we offer a full suite of modules to address regulatory requirements in Canada, particularly those addressing requirements overseen by federal government regulators, OSFI, FINTRAC and FCAC and provincial insurance commissioners.

Investment managers

 
With the assistance of the law firm Borden Ladner Gervais LLP, we offer a full suite of modules to address regulatory requirements in Canada, particularly those addressing requirements overseen by the Canadian Securities Administrators and the self regulatory organization - Mutual Fund Dealers Association.

 

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Our Next Event

 

Mar. 10Mar. 13

Berlin, Germany

7th Annual European Compliance & Ethics Institute

SCCE’s European Compliance & Ethics Institute provides an invaluable opportunity to learn the latest practices for effectively addressing the wide range of challenges facing the European compliance & ethics community. Learn directly from experienced compliance and ethics professionals through both formal presentations and informal networking events. Help improve your compliance & ethics programme and develop your expertise in this growing and evolving profession.

  View all upcoming events

Are you compliance confident? Let's talk.

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