Insurance Regulatory And Compliance Counsel The candidate responsibilities will include review of insurance product filings and management of other insurance regulatory matters, interaction with regulators, drafting of policies and other governance documents, drafting and reviewing marketing, agency and other insurance-related, and other commercial agreements; drafting and reviewing corporate governance policies and procedures; and assistance with product development. Will be responsible for achieving corporate compliance objectives by forecasting requirements, analyzing variances, and initiating corrective actions. Engage in the general practice of corporate law, which may include one or more of the following: litigation management and oversight, corporate governance, and assistance in corporate transactions. Manage and oversee insurance policy rate and form filings; Manage and oversee market conduct and financial exams; Oversee preparation of other regulatory filings (e.g., Holding Company, company licensing); Partner and interact with state insurance regulators; Manage department's handling of consumer complaints, and information requests; Provide guidance on financial statement disclosures; Oversee monitoring of insurance laws and insurance department actions; Effectively work in a team environment, closely collaborate and provide team support with peers across legal, compliance and other control functions. Should have 6+ years of experience specific to insurance regulatory matters, preferably with a property and casualty company, a large law firm or an in-house equivalent. Experience with start-ups or reciprocal insurers is preferred.
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