- Engage in the full lifecycle of law change management, including intake of legislative and regulatory updates, impact assessment, stakeholder communication, and implementation review
- Conduct research and analysis on emerging compliance inquiries, issues, projects, and risks
- Support regulatory inquiry and audit responses with Legal and business leaders
- Review regulatory complaint responses across Claims, Long-Term Care, Underwriting, Surety, and Warranty business lines
- Contribute to monthly reporting, rate attestation administration, and fines and penalties analysis
- Assist with developing and advancing sanctions, privacy, AI, training, and other compliance programs
- Execute spot audits and targeted reviews to assess regulatory compliance and key control strength
- Drive risk-based assessment and remediation efforts, including documentation gathering, findings analysis, and resolution coordination
- Identify opportunities to develop Testing & Monitoring best practices and standardized reporting
Requirements
- Bachelor’s degree in Business Administration, Risk Management, or a related field
- Minimum 7 years of experience in insurance, compliance, regulatory affairs, or audit
- Ability to analyze and interpret state insurance laws, regulations, and regulatory guidance
- Experience interacting with insurance regulators and responding to regulatory inquiries, audits, or examinations preferred
- Strong understanding of P&C insurance operations and regulatory frameworks
- Experience with insurance compliance or risk assessment, auditing, testing, and monitoring preferred
- History of supporting cross-functional compliance initiatives
- Strong analytical and problem-solving abilities
- Excellent interpersonal, written, and verbal communication skills
- Ability to synthesize complex regulatory information and interact effectively with internal and external business partners
- Ability to work independently and collaboratively in a fast-paced environment
- Goal-oriented, self-disciplined, and knowledgeable about the insurance industry
- Proficiency in Microsoft Office Suite, including Microsoft CoPilot, and compliance management tools
Core Competencies
Demonstrates expertise in regulatory compliance, risk management, and insurance operations, with a strong ability to analyze and interpret complex regulatory information. Proven track record in stakeholder communication, compliance program development, and cross-functional collaboration.
Highest-signal resume keywords
- Regulatory Compliance Management
- Risk Assessment and Remediation
- Insurance Regulatory Frameworks
- Stakeholder Communication
- Analytical Problem-Solving
ATS Optimization Keywords
Hard Skills
- Regulatory Analysis
- Compliance Auditing
- Risk Management
- Insurance Law Interpretation
- Testing and Monitoring
- Data Analysis
- Legislative Impact Assessment
- Fines and Penalties Analysis
- Spot Audits
- Cross-Functional Compliance Initiatives
Soft Skills
- Interpersonal Communication
- Written Communication
- Verbal Communication
- Collaboration
- Goal-Oriented
Industry Keywords
- Insurance Compliance
- Regulatory Affairs
- P&C Insurance Operations
- Audit Responses
- Stakeholder Engagement
Tools & Technologies
- Microsoft Office Suite
- Compliance Management Tools
- Microsoft CoPilot
Senior Corporate Compliance Consultant in il at Unknown Company
This position is listed as full time and onsite.