Senior Compliance Analyst


: $152,540.00 - $152,540.00 /year *

Employment Type

: Full-Time


: Legal

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\"Our Company provides a state of predictability which allows brokers and agents to act with confidence.\"

Founded in 1967, W. R. Berkley Corporation has grown from a small investment management firm into one of the largest commercial lines property and casualty insurers in the United States.

Along the way, weve been listed on the New York Stock Exchange, seen our revenue soar well past $7 billion, and become a well-respected Fortune 500 Company.

Today, the Berkley brand comprises 53 Berkley companies worldwide. Still managed by our founder and largest shareholder, W. R. Berkley Corporation is well-positioned to respond to opportunities for future growth.

In April 2017, W. R. Berkley Corporation celebrated the 50th anniversary of its founding.

Member of Corporate Compliance Department that is responsible for the following:

  • Market Conduct/State Exams & Inquiries

  • Delaware Triennial Exam Process

  • Anti-Fraud Plans/SIU Compliance Program/Vendor Management

  • State Insurance Department Data Calls

  • NCCI/State Workers Compensation Data Reporting

  • Agency Appointment Process/Renewal Fee Processing Centralization Project

  • State insurance Department - Consumer Complaints

  • Domestic and International Company Licensing matters

  • Development and communication of various corporate compliance policies/procedures

  • Miscellaneous Corporate Projects

    Overall Responsibilities:

  • Work with the various operating units and financial reporting unit to collect data and complete state insurance department data calls for various WRBC statutory companies

  • Handle/coordinate state market conduct examinations/regulatory inquiries including interaction with regulatory examination staff

  • Coordinate anti-fraud training/state insurance department fraud plan filings with outside vendor

  • Work with operating units to coordinate loss control plan filings with state insurance departments

  • Work with operating units to coordinate agent appointments and annual renewal fee payments

  • Handle miscellaneous insurance regulatory matters/questions raised by operating units

  • Help maintain Corporate Compliance intranet site

Minimum of 5-7 experience in property/casualty regulatory, compliance or legal role. Outlook; Excel; Word; Nuance PDF Professional; Wings Forms Supplement; Familiarity with insurance financial statements (yellow books); Strong administrative and communication skills; must be detail-oriented. Able to work independently, prioritize tasks and meet multiple deadlines; knowledge of property-casualty insurance industry/products required; Connecticut notary a plus. Legal research skills a plus.

Job ID: 2019-2697

Street: 475 Steamboat Road

Name: IA, Urbandale - 11201 Douglas Avenue

Name: IL, Naperville

Name: NJ, Hamilton Square

Associated topics: attorney, company, compliance, corporate, corporate attorney, court, courtroom, lawyer, legal, llp * The salary listed in the header is an estimate based on salary data for similar jobs in the same area. Salary or compensation data found in the job description is accurate.

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