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Our client ranks among the 75 largest stock life insurance companies in the nation. They’ve been serving the needs of their customers for over 100 years, and have an A (Excellent) A.M. Best rating for excellent overall performance. They are committed to developing innovative and consumer-oriented products. Their broad line of products includes universal life products, term insurance, as well as single and flexible premium annuities. They currently offer an opportunity to join their compliance team as a Senior Compliance Analyst. In this role you will be responsible for drafting and modifying the wording of new and existing forms required to ensure compliance with regulations. You will coordinate market conduct examinations, monitor sales practice exposure, and review advertising material to ensure compliance. You will also participate in the development and filing of policy forms, and conduct regulatory research. To be considered you will need to offer around 5 or more years applicable experience in an annuity and life environment. Legal or paralegal training highly desired along with the completion or work towards industry designations such as: CLU, ChFC, FLMI or CEBS. Salary depends upon your level of experience. Our client offers a very competitive salary and benefits. If you would like to submit your resume for this job, please click HERE and attach your resume as a Microsoft Word document.
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