Compliance Consultant, Registered Products - Remote
Job title: Compliance Consultant, Registered Products - Remote in USA at Symetra Life Insurance Company
Company: Symetra Life Insurance Company
Job description: Job Description:Symetra has an exciting opportunity to join our Compliance team as a Compliance Consultant!About the roleAs a Compliance Consultant, you will bring extensive industry and compliance knowledge to support company initiatives related to registered insurance products including annuities. Responsibilities may include the identification and assessment of compliance issues and the development of recommendations to promote long-term disciplined growth. Position also requires training and coaching of other compliance personnel.What you will do
- Serve as lead Compliance representative supporting a wide range of projects for lines of business and/or with multi-disciplinary teams
- Lead technically demanding compliance projects with minimal supervision
- Oversee junior analysts on specific projects and ensure timely completion of tasks
- Engage with regulators as needed
- Advise business management on compliance issues with limited direction and assists business management in development of practices and procedures
- Partner with compliance leaders to manage internal relationships and reports relevant concerns to senior management
- Stay current on industry issues and regulatory developments relevant to assigned areas
- Perform ad hoc research and analysis for senior management
- Flexible full-time or hybrid telecommuting arrangements
- Plan for your future with our 401(k) plan and take advantage of immediate vesting and company matching up to 6%
- Paid time away including vacation and sick time, flex days and ten paid holidays
- Give back to your community and double your impact through our company matching
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- High school diploma required
- College degree or equivalent work experience
- At least 10 years experience with insurance compliance, including knowledge of registered product compliance
- Experience with SEC Rule 38a-1 and SEC Form N-4
- Excellent analytical, communication, presentation, and organizational skills and executive judgment
- FINRA Series 6/7 and 26/24
- Broad understanding of business operations and of the related legislative, regulatory, and related in-house company policy requirements