[Remote] Compliance Director - BRIE
Note: The job is a remote job and is open to candidates in USA. The Baldwin Group is a mission-driven organization focused on providing innovative insurance solutions. They are seeking a highly skilled Compliance Director to lead compliance operations for the Builder Reciprocal Insurance Exchange, ensuring adherence to state and federal regulations while fostering a culture of compliance excellence.
Responsibilities
⢠Monitor and communicate legislative and regulatory changes
⢠Ensure the company complies with all applicable laws, regulations, and internal policies by timely adopting new requirements
⢠Oversee regulatory reporting to insurance departments and other compliance functions including, but not limited to, the following: Consumer Complaint Handling; Regulatory Exams & Investigations (including Market Conduct Exams); Regulatory Inquiries & Communications; Homeowners Data Calls; NAIC Market Conduct Annual Statements; Coordination of financial reporting requirements; and Medicare Secondary Payer compliance, including Section 111 reporting
⢠Create, update, and enforce compliance policies and procedures to mitigate risks and ensure adherence to regulations
⢠Support the adoption and adherence to corporate governance procedures and best business practice guidelines
⢠Develop, organize, and deliver compliance training programs to communicate key regulatory changes and compliance responsibilities
⢠Identify, assess, manage and mitigate compliance risks by developing and implementing internal controls and procedures
⢠Support and manage complex strategic planning and projects
⢠Conduct regulator internal reviews/audits to assess compliance with regulations and prepare reports for leadership
⢠Work closely with various departments to ensure compliance activities are integrated into business processes and operations
⢠Partner with cross-functional and cross-organizational teams, including Legal and Operations, to support regulatory requirements for BRIE
⢠Serve as a strategic advisor on regulatory requirements, filings, and industry trends
⢠Report key compliance metrics and risk assessments to senior leadership
Skills
⢠7+ years in Property & Casualty insurance compliance
⢠In-house carrier experience required
⢠Strong understanding of NAIC model laws, state-specific regulations, and compliance frameworks
⢠Exceptional communication, analytical, and problem-solving abilities
⢠Adept at process improvement and technology-driven compliance solutions
⢠Bachelor's degree required
⢠High ethical standards, sound judgment, and ability to influence decision-making at senior levels
⢠Juris Doctor degree and compliance certifications (e.g., CRCM, CCEP) preferred
Company Overview
⢠The Baldwin Group is an advisory firm that delivers insurance, risk mitigation, and wealth management solutions for businesses. It is a sub-organization of The Baldwin Group. It was founded in 2011, and is headquartered in Tampa, Florida, USA, with a workforce of 1001-5000 employees. Its website is https://baldwin.com.
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Responsibilities
⢠Monitor and communicate legislative and regulatory changes
⢠Ensure the company complies with all applicable laws, regulations, and internal policies by timely adopting new requirements
⢠Oversee regulatory reporting to insurance departments and other compliance functions including, but not limited to, the following: Consumer Complaint Handling; Regulatory Exams & Investigations (including Market Conduct Exams); Regulatory Inquiries & Communications; Homeowners Data Calls; NAIC Market Conduct Annual Statements; Coordination of financial reporting requirements; and Medicare Secondary Payer compliance, including Section 111 reporting
⢠Create, update, and enforce compliance policies and procedures to mitigate risks and ensure adherence to regulations
⢠Support the adoption and adherence to corporate governance procedures and best business practice guidelines
⢠Develop, organize, and deliver compliance training programs to communicate key regulatory changes and compliance responsibilities
⢠Identify, assess, manage and mitigate compliance risks by developing and implementing internal controls and procedures
⢠Support and manage complex strategic planning and projects
⢠Conduct regulator internal reviews/audits to assess compliance with regulations and prepare reports for leadership
⢠Work closely with various departments to ensure compliance activities are integrated into business processes and operations
⢠Partner with cross-functional and cross-organizational teams, including Legal and Operations, to support regulatory requirements for BRIE
⢠Serve as a strategic advisor on regulatory requirements, filings, and industry trends
⢠Report key compliance metrics and risk assessments to senior leadership
Skills
⢠7+ years in Property & Casualty insurance compliance
⢠In-house carrier experience required
⢠Strong understanding of NAIC model laws, state-specific regulations, and compliance frameworks
⢠Exceptional communication, analytical, and problem-solving abilities
⢠Adept at process improvement and technology-driven compliance solutions
⢠Bachelor's degree required
⢠High ethical standards, sound judgment, and ability to influence decision-making at senior levels
⢠Juris Doctor degree and compliance certifications (e.g., CRCM, CCEP) preferred
Company Overview
⢠The Baldwin Group is an advisory firm that delivers insurance, risk mitigation, and wealth management solutions for businesses. It is a sub-organization of The Baldwin Group. It was founded in 2011, and is headquartered in Tampa, Florida, USA, with a workforce of 1001-5000 employees. Its website is https://baldwin.com.
Apply Now
Apply Now