Talent.com
Assistant Vice President, Regulatory Compliance

Assistant Vice President, Regulatory Compliance

Bankers FidelityAtlanta, GA, US
30+ days ago
Job type
  • Part-time
Job description

Assistant Vice President, Regulatory Compliance

The Assistant Vice President, Regulatory Compliance ("AVP") supports the Vice President, General Counsel and Chief Compliance Officer in promoting and fostering a culture of compliance and ethics among the employees and agents of Bankers Fidelity Life Insurance Company and / or its subsidiary(ies) (hereinafter the "Company") by collaborating with cross-functional teams and internal stakeholders to develop and implement controls, processes, policies and procedures that facilitate the identification, assessment and mitigation of the risk of non-compliance; to ensure those requirements are integrated into the fabric of the Company's business practices and procedures; and, to promote awareness and accountability at all levels of the organization.

Key Responsibilities

The AVP is responsible for the activities listed below, as assigned by the Vice President, General Counsel and Chief Compliance Officer, accomplishing them either directly or by directing and supporting the activities of responsible personnel in their completion. The AVP may directly supervise full or part-time employees of the Regulatory Compliance Department or temporary staff that may be periodically retained. The AVP may frequently lead ad-hoc intra-company teams on special projects.

  • Corporate Compliance
  • Ensuring corporate compliance with state and federal laws and regulations in the development, marketing, solicitation, underwriting, servicing and maintenance of all the products sold by the Company by :
  • Drafting policy documents and ancillary forms based on the product specifications provided by the Actuarial and Sales / Marketing departments to ensure the resulting product complies with state and federal laws and regulations.
  • Coordinating with all company department stakeholders to ensure that the codes and processes programmed into the operating system (USSI / EIS / etc.) align with the product design to properly issue and administer the policy, collect the approved premiums, and to pay benefits and commissions; and, that our systems and procedures for administering required notices and performing policy-related services are compliant with state and federal requirements.
  • Overseeing or verifying that all policy documents and ancillary forms and sales pieces, processes and rates are filed with and approved by the appropriate state insurance department(s) as may be required, and that compliance of those products is continually maintained through subsequent filings of new forms, endorsements or amendments to bring existing forms into compliance.
  • Coordinating with Sales / Marketing to ensure the communications, training, guidance and resources provided to the field agents comply with regulatory requirements, including fair solicitation and advertising practices, full disclosures and suitability requirements are followed.
  • Coordinating with the Sales / Marketing and Customer Experience, Information Technology, and other departments as necessary, to ensure the Company's online presence including websites, social media accounts, electronic communications, etc. are compliant.
  • Collaborating with department stakeholders company-wide to provide proper training, guidance and resources to ensure compliant administration of the policies that are sold.
  • Developing and documenting auditable policies, procedures and standards
  • Compiling, reviewing and analyzing state and federal laws and regulations available through online legislative service, internet resources and industry organizations to develop and implement compliance programs and procedures. Monitoring regulatory developments to identifying changes in compliance requirements to then assess the impact on the company's products and operations to provide guidance and recommendations to executive leadership to ensure continuing compliance.
  • Conducting regularly scheduled compliance audits, testing and analysis of policies, procedures, and practices to identify areas of non-compliance or operational risk
  • Assess the effectiveness of existing compliance controls and identify areas for improvement.
  • Recommend action plans and remediation strategies to address identified non-compliance issues, monitoring progress towards the elected solution and ensuring timely resolution.
  • Document audit findings, including deviations from regulatory requirements and control deficiencies, and communicate results to executive leadership in a clear and concise report.
  • Monitoring business activities and metrics to identify anomalous areas of non-compliance or operational risk, then :
  • Investigate to determine the root cause.
  • Implement corrective actions to resolve the compliance issue.
  • Develop system programs or edits to prevent the anomaly from recurring.
  • Conduct follow-up review to ensure issues remain resolved.
  • Supporting home office personnel in the sale and servicing of the company's products by :
  • Providing training, education and guidance to employees on compliance policies, procedures, regulatory requirements and best practices, promoting awareness and understanding of compliance obligations.
  • Educating and notifying home office personnel of general and state-specific product specifications and servicing requirements and providing timely updates of changes in regulatory requirements.
  • Compiling and maintaining resource documentation to be used by all company departments on various product, process and service standards.
  • Serving as the primary point of contact and subject matter expert for compliance-related inquiries from internal employees and agents.
  • Serve as a primary point of contact for regulatory agencies, law enforcement and the legal community by :
  • Researching and preparing the response to complaints received from regulatory and consumer advocacy agencies, as well as those from insureds, agents, providers and other related parties, whether communicated directly or through an attorney.
  • Preparing and responding to regulatory inquiries, surveys, data calls and desk audits timely and thoroughly.
  • Coordinating and participating in examinations and audits, providing support to internal stakeholders and facilitating a timely and complete response.
  • Ensuring Company records with the state insurance departments related to biographical affidavits and registered agent records are maintained in compliance.
  • Monitoring the progress and completion by staff members responding to subrogation and third-party subpoenas.
  • If an instance of non-compliance is discovered during the course of research, the AVP will identify and implement any corrective action necessary.
  • Participating in activities related to the Company's anti-fraud, anti-money laundering, HIPAA privacy and Gramm-Leach Bliley compliance programs by :
  • Compiling, reviewing and analyzing state and federal laws and regulations available through the online legislative service, internet resources and industry organizations to develop, implement, and maintain compliant programs and procedures.
  • Directing and facilitating the investigation and reporting of fraud perpetrated by insureds, agents, providers, vendors and unidentified actors against the company to the appropriate regulatory and law enforcement agencies.
  • Developing and maintaining the Company's written program documentation for its Anti-Fraud, Anti-Money Laundering, and HIPAA Privacy compliance programs; staying abreast of regulatory developments affecting the programs and industry best practices and solutions for the required personnel training programs as required by state and federal laws and regulations.
  • Monitoring the results of the Company's OFAC sweeps, evaluating any persons or entities that receive a positive indication and taking any appropriate actions.
  • Directing and participating in various other areas of compliance, including but not limited to :
  • Monitor and stay abreast of regulatory development and industry trends affecting insurance products and services and provide guidance and recommendations to executive leadership and senior management on compliance implications and potential business opportunities.
  • Participate in cross-functional projects and initiatives aimed at enhancing product innovation, customer experience, operational efficiency and competitive positioning while maintaining compliance.
  • Assisting executive leadership and senior management in the identification and purchase of insurance companies and / or blocks of business and utilize experience to help coordinate the activities necessary to install the company or policy block onto our system platforms.
  • Assisting, as directed by the Vice President, General Counsel and Chief Compliance Officer with the initiation of or response to lawsuits; coordinating the gathering of materials from internal stakeholders, and serving as a liaison between the Company, outside counsel and opposing counsel.
  • Coordinate with outside counsel on the filing and renewal of trademark and / or patent applications for the company's intellectual and branded property.
  • Identifying patterns and trends that necessitate the performance of audits of agent records and activities to ensure compliant business practices.
  • Assisting personnel in other departments by answering questions based on knowledge of product specifications, system information and state and federal laws and regulations.
  • Coordinating with and / or assisting other company departments with special non-recurring research to support system and process review and / or investigative projects.

Qualifications

  • A bachelor's degree or equivalent industry experience in law, business, finance, accounting, or a related field.
  • A professional certification or license in compliance, such as Certified Compliance and Ethics Professional (CCEP) or Certified Regulatory Compliance Manager (CRCM), LOMA Fellow, Life Management Institute (FLMI) and / or LOMA Associate,
  • Create a job alert for this search

    Assistant Vice President • Atlanta, GA, US

    Related jobs
    • Promoted
    • New!
    Vice President of Pharmacovigilance

    Vice President of Pharmacovigilance

    VirtualVocationsLawrenceville, Georgia, United States
    Full-time
    A company is looking for a Vice President, Pharmacovigilance and Patient Safety.Key Responsibilities Lead and oversee pharmacovigilance activities, ensuring compliance with drug safety regulation...Show moreLast updated: 6 hours ago
    • Promoted
    Compliance Director

    Compliance Director

    VirtualVocationsNorcross, Georgia, United States
    Full-time
    A company is looking for a Compliance Director - Remote.Key Responsibilities Lead risk management and compliance activities to ensure adherence to regulations and quality standards Oversee compl...Show moreLast updated: 30+ days ago
    • Promoted
    Vice President, Regulatory Affairs - Oncology

    Vice President, Regulatory Affairs - Oncology

    Sumitomo PharmaAtlanta, GA, United States
    Full-time
    Japan with key operations in the U.Canada (Sumitomo Pharma Canada, Inc.Europe (Sumitomo Pharma Switzerland GmbH) focused on addressing patient needs in oncology, urology, women's health, rare disea...Show moreLast updated: 6 days ago
    • Promoted
    Senior Director, Regulatory Affairs

    Senior Director, Regulatory Affairs

    VirtualVocationsLawrenceville, Georgia, United States
    Full-time
    A company is looking for a Senior Director, Regulatory Combination Product.Key Responsibilities Develop comprehensive strategies for biologic and device components aligned with corporate goals an...Show moreLast updated: 3 days ago
    • Promoted
    Assistant Vice President, Surety5909 Peachtree Dunwoody Rd Bldg D Ste 800, Atlanta, GA 30328

    Assistant Vice President, Surety5909 Peachtree Dunwoody Rd Bldg D Ste 800, Atlanta, GA 30328

    EPIC BrokersAtlanta, GA, US
    Full-time
    Assistant Vice President, Surety.Come join our team! There are many reasons why EPIC Insurance Brokers & Consultants has become one of the fastest-growing firms in the insurance industry.Fueled and...Show moreLast updated: 30+ days ago
    • Promoted
    Director, Regulatory Affairs (Transfusion)

    Director, Regulatory Affairs (Transfusion)

    WerfenNorcross, GA, United States
    Full-time
    T&T - Norcross - Norcross, Georgia United States.Werfen, founded in 1966, is a worldwide developer, manufacturer and distributor of specialized diagnostic instruments, related reagents, automati...Show moreLast updated: 30+ days ago
    • Promoted
    RCRA Compliance Manager

    RCRA Compliance Manager

    VirtualVocationsLawrenceville, Georgia, United States
    Full-time
    A company is looking for a RCRA Compliance Manager.Key Responsibilities Serve as the primary point of contact for major clients, ensuring timely and accurate regulatory reporting services Act as...Show moreLast updated: 3 days ago
    • Promoted
    Senior Trade Compliance Specialist

    Senior Trade Compliance Specialist

    Resolution Technologies, Inc.Tyrone, GA, US
    Permanent
    Senior Trade Compliance Specialist Career Opportunity.The Senior Trade Compliance Specialist is a member of the Foreign Trade Department working closely with the Manager to complete compliance obje...Show moreLast updated: 5 days ago
    • Promoted
    Corporate Director, Regulatory Affairs

    Corporate Director, Regulatory Affairs

    Emory HealthcareAtlanta, GA, US
    Full-time
    Corporate Director Of Regulatory Affairs.At Emory Healthcare we fuel your professional journey with better benefits, valuable resources, ongoing mentorship and leadership programs for all types of ...Show moreLast updated: 27 days ago
    • Promoted
    Senior Regulatory Compliance Analyst

    Senior Regulatory Compliance Analyst

    Delta DentalAlpharetta, GA, US
    Full-time
    Focus on the core content of the job post, removing any extra metadata, navigation links, and redundant headers.Keep the formatting beautiful and consistent across all job posts.Show moreLast updated: 9 days ago
    • Promoted
    Principal, Regulatory Affairs

    Principal, Regulatory Affairs

    WerfenNorcross, GA, United States
    Full-time
    T&T - Norcross - Norcross, Georgia United States.Werfen is a growing, family-owned, innovative company founded in 1966 in Barcelona, Spain. We are a worldwide leader in specialized diagnostics in...Show moreLast updated: 30+ days ago
    • Promoted
    Compliance Analyst - Regulatory

    Compliance Analyst - Regulatory

    LocumTenens.comAlpharetta, GA, US
    Full-time
    The Compliance Analyst - Regulatory will be responsible for providing specialized support to the Legal team in the area of statutory and regulatory requirements impacting the locum tenens industry....Show moreLast updated: 1 day ago
    • Promoted
    Compliance Director - Legal

    Compliance Director - Legal

    JobotSandy Springs, GA, US
    Full-time
    Established and growing P&C Carrier.This Jobot Job is hosted by : Chuck Wirtz.Are you a fit? Easy Apply now by clicking the "Apply Now" buttonand sending us your resume.Salary : $150,00...Show moreLast updated: 1 day ago
    • Promoted
    Associate Regulatory Affairs Manager (Atlanta)

    Associate Regulatory Affairs Manager (Atlanta)

    CorDxAtlanta, GA, US
    Full-time
    Associate Regulatory Affairs Manager.CorDx is a multi-national biotech organization focused on pushing the limits of innovation and supply in global health. With over 2,100 employees across the worl...Show moreLast updated: 30+ days ago
    • Promoted
    Assistant Vice President / Vice President - Excess Casualty

    Assistant Vice President / Vice President - Excess Casualty

    Great American Insurance GroupMarietta, GA, US
    Full-time +1
    Assistant Vice President (AVP) Or Vice President (VP) Of Underwriting.Working for a leader in the insurance industry means opportunity for you. Great American Insurance Group's member companies are ...Show moreLast updated: 30+ days ago
    • Promoted
    Sr. Trade Compliance Specialist

    Sr. Trade Compliance Specialist

    HEICOTyrone, GA, US
    Permanent
    Senior Trade Compliance Specialist.The Senior Trade Compliance Specialist is a member of the Foreign Trade Department working closely with the Director and Manager to complete compliance objectives...Show moreLast updated: 29 days ago
    • Promoted
    VP Enterprise Compliance

    VP Enterprise Compliance

    VirtualVocationsNorcross, Georgia, United States
    Full-time
    A company is looking for a VP Enterprise Compliance, responsible for managing the bank's compliance risk management program. Key Responsibilities Stay updated on consumer protection laws and infor...Show moreLast updated: 3 days ago
    • Promoted
    Assistant Vice President, Excess

    Assistant Vice President, Excess

    AIGAtlanta, GA, US
    Full-time
    Assistant Vice President, Excess.At AIG, we are reimagining the way we help customers to manage risk.Join us as an Assistant Vice President to play your part in that transformation.It's an opportun...Show moreLast updated: 30+ days ago
    • Promoted
    Regulatory Affairs Manager (Atlanta)

    Regulatory Affairs Manager (Atlanta)

    CorDxAtlanta, GA, US
    Full-time
    CorDx, a multi-national biotech organization focused on pushing the limits of innovation and supply in global health, delivers rapid testing and point-of-care medical device solutions used in the d...Show moreLast updated: 30+ days ago
    • Promoted
    Assistant Vice President for Advancement, CFR

    Assistant Vice President for Advancement, CFR

    Georgia State UniversityAtlanta, GA, United States
    Full-time
    Georgia State University Advancement works to further Georgia State's status as a national leader in student success, research and innovation, and cultural impact. By connecting with alumni, engagin...Show moreLast updated: 14 days ago