RBC Wealth Management
Colene Rae Johnson is an experienced compliance and legal professional currently serving as Associate Director - Head of Compliance Governance at RBC Wealth Management since March 2020, following a distinguished career at Ameriprise Financial Services, Inc. from 2000 to 2019. During time at Ameriprise, Colene held multiple roles including Senior Manager - Legal Affairs, where management of legal support for the franchised advisor platform was a key responsibility, and Marketing Compliance Consultant, acting as registered principal for retirement services and marketing departments. Colene also served as Manager - Legal Affairs, overseeing legal support for market group alliances and franchise development. Colene holds an ABA-Approved Paralegal Certificate from the Minnesota Paralegal Institute and a Bachelor of Arts in Political Science and Philosophy from the University of Minnesota Duluth.
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RBC Wealth Management
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We know what’s most important to you — attaining your personal goals, helping your family thrive, and leaving a meaningful legacy — so we help you manage your wealth in a way that reflects your unique values and aspirations. Because we believe, as you do, that the greatest returns are realized when you grow more than wealth. RBC Wealth Management has provided trusted advice and wealth management solutions to individuals, families and institutions for more than a century. As part of Royal Bank of Canada (RBC), Canada’s largest bank and a leading global bank, we serve the needs of high net worth and institutional clients worldwide through private banking, credit, investment management, asset management, estate and trust and other services. By offering the breadth of our global reach, our deep capabilities, and an integrated team of experts, we aim to bring the best possible solutions to our clients. RBC Wealth Management is a business name used by various affiliates of Royal Bank of Canada and in Canada, includes RBC Dominion Securities Inc.*, RBC Phillips, Hager & North Investment Counsel Inc., RBC Global Asset Management Inc., Royal Trust Corporation of Canada and The Royal Trust Company. *Member – Canadian Investor Protection Fund. Each of these companies, their affiliates and Royal Bank of Canada are separate corporate entities which are affiliated. In the United States, securities are offered through RBC Wealth Management, a division of RBC Capital Markets, LLC, a wholly owned subsidiary of the Royal Bank of Canada. Member NYSE/FINRA/SIPC. The information provided on this page is for general purposes only and does not constitute financial or legal advice. Please consult with your own professional advisor to discuss your specific financial needs. For information about our legal terms of use, please visit www.rbc.com/legal/#social_media