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At CSI, the well-being of our valued learners and staff is our highest priority. Learn more about our response to COVID-19 and changes to our exam delivery format.

Cybersecurity & Privacy


The Investment Industry Regulatory Organization of Canada (IIROC), as well as other securities regulators in Canada and the United States have identified "cybersecurity and privacy" as a critical issue that participants in the financial services industry (both dealer members and their individual registrants) must be aware of in their day to day operations and practice. It is an issue that all participants in the investment industry must be cognizant of on a daily basis. Like the threats posed by money launderers, cybersecurity threats and related issues are serious and can result in both significant client harm, liability for both dealer members and registered staff and general risks to the stability of the capital markets.

Who Should Enrol?

  • Investment Advisors
  • Financial Planners
  • Wealth Managers
  • It is recommended for individuals who are subject to CE compliance requirements