JOB SUMMARY:
The Regulatory Compliance Attorney II is responsible for monitoring and researching regulatory compliance issues relating to insurance operations for the Globe Life family of companies, and preparing summary analysis, drafting documents and making recommendations to the Chief Compliance Officer and senior management. Serves as a liaison with state insurance departments. Provides prompt, professional advice to colleagues where necessary.
Legal research and writing skills are critical and projects will range from drafting memos for team members and GC to reviewing documents before submission to regulatory authorities. Will assist with market conduct exams and coordinate with various internal departments.
This position will allow the opportunity to develop subject matter expertise. Requires Occasional travel.
PRIMARY DUTIES & RESPONSIBILITES:
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