Key Accountabilities
- Lead all securities law compliance efforts, including Exchange Act and Securities Act filings, stock exchange rules, and disclosure controls tailored to insurance‑specific reporting.
- Oversee preparation and review of Forms 10‑K, 10‑Q, 8‑K, proxy statements, Section 16 filings, and registration statements, ensuring alignment with statutory accounting (SAP) and GAAP considerations.
- Partner with regulatory counsel and compliance, as appropriate, with respect to insurance regulatory reporting intersections, including risk‑based capital (RBC) considerations, ORSA‑related disclosures, and rating agency interactions.
- Provide legal guidance on capital markets transactions, including surplus notes, debt offerings, equity raises, and reinsurance‑related financing structures.
- Manage insider trading compliance, blackout periods, and training for employees and directors.
- Partner with investor relations and finance on earnings cycles, disclosure controls, and shareholder engagement initiatives.
- Advise on matters that involve the intersection of securities with corporate governance, including board and committee support, executive compensation matters, governance policies, and annual meeting preparation.
- Manage outside counsel and ensure efficient use of legal resources.
Technical Knowledge and Understanding
Deep knowledge of SEC regulations, public company reporting, and disclosure controls frameworks. Strong understanding of securities transactions and legal issues affecting capital treasury functions. Exceptional communication skills and business judgment.
Experience and Qualifications
- Juris Doctor from an accredited law school and active law license in good standing required.
- 10+ years of securities law experience preferred.
- Experience working with rating agencies on disclosure and governance matters preferred.
- Ability to lead in ways that mitigate risk to the company while providing the business with flexibility to grow.
- Experience in providing guidance with respect to statutory accounting and financial disclosures.
- Comfort with or expertise in securities regulatory and compliance matters.
- Previous experience in the financial services or insurance industry preferred but not required.
Additional Requirements
Applicants must be authorized to work for any employer in the U.S. We are unable to sponsor or take over work authorization sponsorship now or in the future for this position.
Benefits
- Competitive salary and opportunities for professional development and advancement.
- Medical, dental, vision, and life insurances.
- Short- and long-term disability.
- Company match of 100% of a 6% contribution 401(k) plan.
- Employee Assistance Plan.
- Health Savings Account.
- Flexible Spending Account.
- Health Reimbursement Account.
- Wellness program.
VP and Deputy General Counsel - Securities in cincinnati at Unknown Company
This position is listed as full time and onsite.