Regulatory Compliance Analyst

Posted: October 2019

Martin & Company offers a full suite of insurance services serving the Property & Casualty and Life, Accident and Health markets. Our core business units include State Filings; Company Licensing; Compliance & Regulatory; Product Development; Actuarial Consulting and Competitive Intelligence. Our firm continues to see growth in all areas and we currently we have an excellent opportunity in our Regulatory Compliance unit. 

Responsibilities

  • Knowledge of commercial lines rating bureaus such as NCCI, Independent Bureaus, ISO, AAIS
  • Compliance and regulatory product research
  • Monitoring bureau circulars to determine proper action
  • Communication to internal staff on weekly activity
  • Updating State Filing Manuals
  • Market research / IT project management tools
  • Planning, organizing, coordinating state assignments
  • Track, plan and coordinate deadlines
  • Work closely with Actuarial, State Filing and Product Development Teams
  • Help develop new strategies and improve workflow
  • Coordinate and document all activities surrounding the filing requirements, deadlines for all state

Qualifications

  • Relevant experience with Workers Compensation, commercial lines and all rating bureaus
  • Minimum of four (4) years insurance experience
  • Working Knowledge of SERFF, I-FILE and the filing process
  • Strong attention to detail
  • Strong communication (written and verbal) and presentation skills
  • Intermediate Microsoft Office skills
  • Ability to multi-task and manage more than one project in an organized and timely manner

Salary Range: Not Published
Relocation Reimbursement Policy: N/A
Job Locations: Home Office or Work from Home Position

Customer Testimonials
“Can’t tell you how happy this will make our executive team.  Thanks for all your hard work … truly appreciated.”— Rutherford, NJ