FSRA Exchange Event 2026

Speaker bios

Meghan Kilty

Meghan Kilty

Chief Public Affairs Officer
Financial Services Regulatory Authority of Ontario (FSRA)

Meghan is a seasoned communications professional with over 20 years of experience across sectors including health, education, and municipal government. Most recently, as the inaugural Director of Communications at Toronto Public Health.

She has led multidisciplinary teams responsible for internal/external communications, branding, issues management, media relations, and more. Meghan’s ability to communicate complex, sensitive issues with clarity has been a hallmark of her career.

Recognized for her excellence, Meghan was recently honored by IABC/Toronto with two Ovation Awards: Award of Excellence in Government Communications and Award of Distinction for Communications Department of the Year.

Douglas E. Turnbull

Douglas E. Turnbull

Board Chair
Financial Services Regulatory Authority of Ontario (FSRA)

With 46 years of experience in investment banking, debt capital markets, advisory and credit rating businesses, Mr. Turnbull is a successful, proven leader in the Canadian financial services industry. He has acted for a broad cross-section of private and public sector clients in Canada, the United States and internationally.

He is well-known and respected in financial industry circles for his strong business leadership, integrity and governance skills, as well as for building enduring relationships with colleagues, management teams and boards of directors.

Doug is a recognized leader in financial services, capital markets, governance, regulatory, business development and negotiation. He has advised and spoken publicly in Canada and abroad on various topics related to capital markets, debt management, credit ratings, government finance, infrastructure and privatizations. Further, he is highly in demand as a speaker, moderator and “fireside chat” host for national and international events and audiences.

Dexter John

Dexter John

Chief Executive Officer
Financial Services Regulatory Authority of Ontario (FSRA)

Dexter John became the second CEO of the Financial Services Regulatory Authority of Ontario (FSRA) on March 1, 2025. He brings more than 25 years of leadership experience in governance, risk management, and regulatory oversight.

Before joining FSRA, Mr. John served as the President and CEO of Morrow Sodali (Canada) Ltd., where he advised boards and executives on corporate governance, environmental, social and governance (ESG) initiatives, shareholder engagement, executive compensation, and strategic investor voting analytics.

His previous leadership roles include Senior Vice President and Executive Vice President of D.F. King Canada (formerly CST Phoenix Advisors) and as Executive Vice President & General Counsel of Kingsdale Shareholder Services Inc., where he provided strategic guidance to public company issuers and boards on governance matters and corporate strategy.

Mr. John has also held several roles at prominent organizations including the Investment Dealers Association, the Ontario Securities Commission, and the Toronto Stock Exchange. He began his career by practicing corporate law at Stikeman Elliott, where he developed a strong understanding of regulatory and governance frameworks.

An expert in corporate governance, Mr. John has served on the boards of Organigram Holdings Inc, Prosper Gold Corp, Augustine Ventures Inc., and Partners Real Estate Investment Trust. He was also appointed to The Committee on the Future of Corporate Governance in Canada to contribute to the development and modernization of national governance policy.

Mr. John currently sits on the Organigram Holdings, CanPR Board and the Institute of Corporate Directors (ICD) Board.

Mr. John also has experience in regulatory governance, having served on FSRA's Board of Directors from 2021-2025. During his tenure, he was an active member of the Human Resources & Governance Committee and the Statutory Funds Advisory Committee.

Andrew Fung

Andrew Fung

Executive Vice President, Pensions
Financial Services Regulatory Authority of Ontario (FSRA)

Andrew has over 35 years of experience in the pension industry. He is a senior pension leader, strategist and trusted advisor. He has held partnership and senior consulting and business development roles with some of the largest global human resources consulting firms.

Andrew joined the Financial Services Commission of Ontario (FSCO) as its Chief Actuary (Pensions) in 2018 and transitioned to FSRA in 2019 as Head of Relationship Management and Prudential Supervision.

He was previously Senior Vice President, Pension Services and Chief Actuary, with one of the largest jointly-sponsored pension plans in Canada where he had oversight responsibility of a wide range of functions including actuarial and advisory services, pension policy and research, pension sustainability, strategy and planning, stakeholder relationships and communications.

Andrew graduated from the University of Waterloo with a Bachelor of Mathematics. He is a Fellow of the Society of Actuaries (FSA), a Fellow of the Canadian Institute of Actuaries (FCIA), a Chartered Financial Analyst (CFA) charter holder and holds the ICD.D designation with the Institute of Corporate Directors.

Antoinette Leung

Antoinette Leung

Executive Vice President, Market Conduct
Financial Services Regulatory Authority of Ontario (FSRA)

Antoinette Leung is Executive Vice President, Market Conduct at the Financial Services Regulatory Authority of Ontario (FSRA).

Antoinette previously served as Head of the Financial Institutions and Mortgage Brokering Conduct team, which is responsible for conduct supervision of credit unions, mortgage brokerages and mortgage administrators, and related policy making. She also has oversight over FSRA’s Complaints and Risk Assessment Unit, which is responsible for handling public complaints.

She chairs the Mortgage Broker Regulators’ Council of Canada (MBRCC) and the Market Conduct Working Group of the Credit Union Prudential Supervisors Association (CUPSA).

Prior to joining FSRA, Antoinette was a member of the senior management team at the Ontario Securities Commission. She has extensive experience in compliance, risk and policy making with respect to various financial sectors, such as dealers, portfolio managers and clearing agencies. She chaired and represented the OSC on various international and domestic regulatory committees.

She completed a secondment at Payments Canada in 2017-2018 as Director of Financial Market Risk, where she was responsible for leading the development of the risk and settlement models for Canada’s wholesale, retail batch and real time payment systems in collaboration with the financial sector and the Bank of Canada.

Antoinette is also a CPA, CA and a CFA charter holder.

Jordan Solway

Jordan Solway

Executive Vice President, Legal and Enforcement
Financial Services Regulatory Authority of Ontario (FSRA)

Jordan is strategic-minded lawyer and financial services executive with extensive expertise in financial services regulation, compliance, enterprise risk management, claim management, government affairs and corporate governance. He oversees legal services and regulatory enforcement and is responsible for ensuring that FSRA’s regulatory framework and policy objectives are effective and enforced to protect the public interest.

A lawyer and financial services executive, Jordan brings extensive legal and business experience to FSRA from the insurance/reinsurance industry where he specialized in financial services regulation, compliance, enterprise risk management, claims and litigation management, government affairs and corporate governance. Jordan joins us from his most recent position as Group General Counsel and Vice President, Claim with Travelers Canada. He is a thought leader on auto insurance and, before moving to practice business law, Jordan was a successful litigator in private practice and with the Department of Justice.

An instructor with Degroote Directors College, Jordan holds a Bachelor of Law and Juris Doctor from Osgoode Hall Law School and is a member of the Law Society of Upper Canada.

Michelle Cooper

Michelle Cooper

MPP for Eglinton—Lawrence
Parliamentary Assistant to the Minister of Finance

Michelle Cooper is the Member of Provincial Parliament (MPP) for the riding of Eglinton—Lawrence. She was first elected in February 2025 and currently serves as the Parliamentary Assistant to Ontario’s Minister of Finance.

Before entering the provincial legislature, Michelle was an accomplished senior leader with more than 20 years of experience across corporate and entrepreneurial, and non-profit sectors. She has led high performing teams, developed strategic initiatives, and introduced innovative solutions that strengthened organizations and delivered meaningful results—work that reflects her long standing commitment to community development and public service.

Michelle graduated from York University with a master’s degree in political science. Prior to entering public service, she built a successful career in the private sector, including founding an early Canadian internet startup and holding senior leadership roles in a range of organizations.

Outside of her professional work, she is deeply involved in charitable and political organizations, strengthening her connection to the communities she cares about.

Laurence B. Mussio

Dr. Laurence B. Mussio, FRHistS

Dr. Laurence B. Mussio is one of Canada’s foremost strategic historians of business, technology, and economics. As co-founder and Chair of the Long Run Institute, Dr. Mussio spearheads major initiatives on the long-run dynamics of Artificial Intelligence and national productivity. As Special Advisor to the Office of the CEO at BMO Financial Group, and through collaborations with top North Atlantic organizations such as the RAND Corporation, he provides leaders with the critical context to navigate an era of profound disruption.

Dr. Mussio is a Fellow of the Royal Historical Society (UK) and an Honorary Professor of Practice at Queen’s Business School, Belfast. He has published six books, among them the seminal Telecom Nation: Telecommunications, Computers and Governments in Canada and the two-volume Whom Fortune Favours: The Bank of Montreal and the Rise of North American Finance, both published by McGill-Queen's University Press. Fluent in English, French, and Italian, with an intermediate knowledge of German, Dr. Mussio lives in Toronto and the Italian northeast.

A frequent contributor to The Globe and Mail, Dr. Mussio writes on risk, institutional resilience and the long-run consequences of technological transformation. This work is highlighted by a series of recent articles, Futures @ Risk, co-authored with Dr. Cosimo Pacciani, Research Director and senior executive at Poste Italiane. The articles examine the transforming nature of risk and how institutional memory and pattern recognition though applied history is vital. Their forthcoming book, Ghost Intelligence: Societies at Risk, will be published in 2027.

DanOprescu

Dan Oprescu

Head, Regulation and Strategic Initiatives, FSRA

Dan Oprescu heads Prudential Supervision of Ontario Credit Unions at the Financial Services Regulatory Authority of Ontario.

He has 14 years' experience in regulating credit unions, banks and insurance companies.

Prior to joining FSRA in 2022, Dan held leadership positions with the BC Financial Services Authority, OSFI, the Bank of England and the UK’s Financial Services Authority.

Prior to becoming a financial services regulator, Dan worked for global banks in the City of London and taught Risk Management at Bayes Business School, London.

Mate Glavota

Mate Glavota

Executive Director
Applied Research, Data, and Analytics, OSFI

Mate Glavota was appointed Executive Director, Applied Research, Data, and Analytics in April 2025. In this role, he is responsible for leading OSFI’s efforts in leveraging data, research, and advanced analytics to inform supervisory and regulatory decision-making.

Mr. Glavota joined OSFI in 2009 as part of Capital Markets Risk Assessment Services and since then has held progressively more senior roles across the organization. His previous roles include Head of the Market and Liquidity Risk Division, Lead Supervisor for the Bank of Montreal, Head of the Financial Risk Group, and Head of the Applied Risk Research and Analytics division.

Prior to joining OSFI, Mr. Glavota spent 16 years in the capital markets industry as a trader, primarily in the currency and commodity markets. Mr. Glavota holds both an undergraduate degree and a Master of Business Administration from Western University.

Pierre-Luc Bélisle

Pierre-Luc Bélisle

Senior Director, Prudential Supervision
AMF

Pierre-Luc Bélisle is Senior Director, Prudential Supervision, at the Autorité des marchés financiers.

Drawing on his 20 years of experience in the financial sector, Pierre-Luc heads a management team engaged in activities aimed at enhancing the resilience of regulated financial institutions. The team’s mandate includes the maintenance and enhancement of governance and management practices, operational resilience, the implementation and maintenance of sound commercial practices, and anticipation of and preparedness for emerging risks.

At the Fédération des caisses Desjardins du Québec (the Federation), Pierre-Luc led a number of major organizational changes and, on several occasions, was involved in setting up new teams that enabled the Federation to deliver its business vision and optimize and cultivate a culture of performance and efficiency. He worked for the Federation for more than 20 years, including as Senior Director, Everyday Banking and Payment Solutions and Senior Director, Planning, Mobilization and Network Distribution.

Pierre-Luc. who holds an MBA, an M.Sc. in Management and a BA in Management and Industrial Relations, is known for his skills as a communicator, his political sense and his deep understanding of complex organizational structures and how they are intertwined. He acquired this knowledge while working in a variety of positions within the Federation that gave him an integrated, overarching view of the issues.

David Maxwell

David Maxwell

Head, Integrated Insurance Supervision
Financial Services Regulatory Authority of Ontario (FSRA)

David Maxwell has over 20 years of public and private sector experience helping regulators and financial institutions navigate their unique relationship. In his current role, he is responsible for the supervision of Property & Casualty Insurers, ensuring that both prudential and market conduct considerations are integrated into a comprehensive understanding of risk profile and the effectiveness of associated controls, governance, and culture.

Before joining FSRA, David spent 5 years as an Associate Partner with Promontory Financial Group where his work included supporting regulators in multiple jurisdictions with the modernization of their supervisory frameworks and working with a wide range of financial institutions to promote better alignment with supervisory expectations. David previously spent 13 years at the Office of the Superintendent of Financial Institutions (OSFI), most recently as Director of the Corporate Governance Division where he was responsible for the development of guidance and assessment of financial institutions in the areas of risk governance, compensation, culture and internal audit.

David graduated from the University of Waterloo with a Bachelor of Mathematics.

Frank Lofranco

Frank Lofranco

Deputy Commissioner of Supervision and Enforcement
Financial Consumer Agency of Canada

Frank Lofranco was appointed Deputy Commissioner, Supervision and Enforcement at the Financial Consumer Agency of Canada in 2020. The Financial Consumer Agency of Canada is responsible for protecting the rights and interests of consumers of financial products and services. It supervises federally regulated financial entities and seeks to strengthen the financial literacy of Canadians.

Mr. Lofranco has more than 20 years of experience in regulatory compliance, including executive roles with the Financial Transactions and Reports Analysis Centre of Canada and the Office of the Superintendent of Bankruptcy. He has also served as Vice President of Global Anti-Money Laundering Operations with large Canadian financial institution.

Mr. Lofranco earned a master’s degree in public administration from the University of Guelph, and a bachelor’s degree in public policy and administration from York University.

Bojan Pavlovic

Bojan Pavlovic

Chief Information and Operations Officer
North American Personal and Business Banking and Wealth Management

Bojan Pavlovic is Chief Information and Operations Officer for North American Personal and Business Banking and Wealth Management. He is accountable for delivering a transformative, consistent, digital first experience aligned to business strategy, while ensuring technology stability, resilience, and speed to market through strong capability and resource alignment.

Bojan joined BMO in 2020 from Korn Ferry, where he led Canada’s Financial Services Transformation and Technology practices, helping organizations modernize products, operations, and platforms. Previously, he held senior transformation roles at CGI Group and served as CISO and Head of Infrastructure at Aimia. Bojan holds a BBA and MBA from Schulich University.

James Bradshaw

James Bradshaw

Institutional Investing Reporter
The Globe and Mail

James Bradshaw is the Institutional Investing Reporter for the Report on Business, based in Toronto. He is responsible for coverage of Canada's largest pension plans, private equity firms and alternative asset managers.

Previously, he spent six years as The Globe's banking reporter, covering the financial services sector, including the largest banks, fintechs and financial regulators.

Since joining the Globe and Mail in 2007, James has covered media, higher education, arts and cultural policy, and national news. He has occasionally written Editorials as well.

Jeff Kehoe

Jeff Kehoe

Executive Vice President, Enforcement and Legal
Financial Services Regulatory Authority of Ontario (FSRA)

Jeff Kehoe is the Executive Vice President, Enforcement and Legal, at the Financial Services Regulatory Authority of Ontario (FSRA). With over 30 years of experience in financial services regulation, criminal litigation, and organizational leadership, he has built and led large enforcement programs at some of Canada’s most prominent regulatory bodies.

He previously served for nearly eight years as Enforcement Director at the Ontario Securities Commission, where he oversaw a multidisciplinary team of 185 and led a significant shift toward data-driven enforcement.

Earlier in his career, Jeff was Senior Litigation Counsel at the Department of Justice Canada and an Assistant Crown Attorney in Ontario. He holds an LL.M. in Banking and Securities Law from Osgoode Hall Law School, an ICD.D designation in Corporate Governance from the Rotman School of Management, and a Certified Regulatory Compliance Professional designation from the Wharton School.