Protective Life is a financial services company specializing in providing affordable life insurance and annuities. The company offers a variety of insurance products such as term life, whole life, and universal life policies, as well as fixed, immediate, indexed, and variable annuities. Protective Life assists individuals in planning for their future, including retirement, estate planning, and financial protection for families. The company emphasizes its commitment to sustainability, community involvement, and helping customers achieve protection and security throughout various life stages. Protective Life is known for its strong financial foundation and is licensed to operate in all states except New York.
Insurance • Annuities • Asset Protection
April 11
🇺🇸 United States – Remote
💵 $51.5k - $72k / year
⏰ Full Time
🟢 Junior
🟡 Mid-level
🚔 Compliance
🦅 H1B Visa Sponsor
Protective Life is a financial services company specializing in providing affordable life insurance and annuities. The company offers a variety of insurance products such as term life, whole life, and universal life policies, as well as fixed, immediate, indexed, and variable annuities. Protective Life assists individuals in planning for their future, including retirement, estate planning, and financial protection for families. The company emphasizes its commitment to sustainability, community involvement, and helping customers achieve protection and security throughout various life stages. Protective Life is known for its strong financial foundation and is licensed to operate in all states except New York.
Insurance • Annuities • Asset Protection
• Under supervision of the Director of the Compliance Testing Group “CTG, the Associate performs risk-based evaluations of Protective Life Corporation and its subsidiaries’ regulatory compliance, adherence to policies and procedures, and operational effectiveness through the timely execution of compliance testing engagements. • The Associate will conduct testing engagements; document the scope; findings; conclusion and remediation in a formal test report. • This position will work closely with the Director to ensure effective and quality results are delivered. • The Associate will also: • Research regulatory requirements and establish testing criteria. • Request data and perform testing. • Discuss findings with compliance and business partners. • Communicate test results to impacted management partners via oral and written reports. • Support the development and completion of remediation plans by business partners to ensure identified risks are addressed. • Participate in projects as assigned. • General areas of focus: • Market Conduct Preparedness • New and existing regulation • Remediation of State DOI examination findings and recommendations • Corporate policies • Third party contracts and agreements • Acquisitions • Life and Annuity Operations • SEC Rule 38a-1 compliance
• Bachelor’s degree preferred. • Five years of experience (any combination): • internal auditor • financial institution operations • compliance professional • life & annuity operations • regulatory examinations • SEC Rule 38a-1 • Variable life and annuities • Demonstrated knowledge of state and federal laws and regulations covering Protective’s suite of products and services preferred. • Demonstrated ability to perform statistical analyses of operational and financial data. • Ability to perform tests under general supervision and draft reports. • Demonstrated organizational skills and ability to prioritize effectively. • Attention to detail. • Proficient in Microsoft Office Suite, with a heavy emphasis on Microsoft Excel. Experience with Archer and audit data analysis/extraction tools a plus. • Certified Public Accountant (CPA), Certified Internal Auditor (CIA), and/or Certified Fraud Examiner (CFE), or Certified Regulatory Compliance Manager preferred.
• Additional incentive opportunities through an annual incentive based on individual and Company performance.
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