Senior Compliance Analyst
Listed on 2026-01-11
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Finance & Banking
Regulatory Compliance Specialist, Risk Manager/Analyst
Who We Are
Everlake is a leading life insurance company headquartered in Northbrook IL with offices in Chicago IL and Lincoln NE. At Everlake you will find the dynamics of a small entrepreneurial organization and the strength of a big corporation rolled into one. We think big and evolve quickly backed by a collaborative mindset and a solid financial foundation.
Position SummaryThe Senior Compliance Analyst plays a critical role in supporting Everlake's compliance efforts. This role spans a wide range of functions and offers the opportunity to shape and enhance our compliance programs. This position will contribute meaningfully to the administration and enhancement of Everlake's compliance programs.
As a key member of the Compliance Team the senior compliance analyst will help ensure compliance with regulatory requirements and internal policies in areas including ethics, regulatory compliance, regulatory examinations, SEC Rule 38a-1, third party compliance, complaints, anti-money laundering and fraud prevention.
We are seeking a detail-oriented and analytical professional who can effectively support and uphold the integrity of our compliance framework. The ideal candidate will be approachable, persuasive and capable of building trust and consensus across the organization. Success in this role requires adaptability and the ability to thrive in a dynamic evolving environment.
Key Responsibilities- Support the development, implementation, administration and maintenance of Everlake's compliance programs and initiatives.
- Draft and maintain internal policies and procedures to ensure regulatory compliance across the organization.
- Assist in the investigation, resolution and reporting of compliance issues, privacy matters, suspicious activity and complaints.
- Support the workflow and communication with state insurance department examiners during market conduct and regulatory compliance exams.
- Assist in the preparation and submission of regulatory filings and reports.
- Identify and implement process improvements to enhance efficiency and accuracy.
- Perform other duties as assigned.
- Bachelors degree in law, business administration, finance or a related field preferred. Equivalent combination of education, training and experience will be considered.
- 5 years of experience in a compliance role within the life insurance or financial services industry preferred. Similar experience in an advisory, compliance or legal services role or related field will be considered.
- Excellent analytical reasoning and proven problem-solving skills; ability to use data to identify patterns and anomalies.
- Professional compliance certifications preferred (e.g. LOMA Fellowship, AIRC designation). Additional relevant certifications may be expected based on needs of the business.
- Strong project management skills.
- Ability to analyze and interpret regulatory requirements as well as general business protocols and render guidance to business partners.
- Strong written and verbal communication skills.
- Ability to work independently and as part of a team.
- High level of integrity and attention to detail.
- Medical, dental and vision benefits
- 401K plan
- Incentive Program
- Flexible paid time off plan
- Hybrid work environment
- Paid holidays
- Tuition assistance
Required Experience: Senior IC
Key Skills
Compliance Management, Risk Management, Financial Services, PCI, Banking, Cost Accounting Standards, Quality Systems, Research Experience, NIST Standards, Securities Law, SOX, ISO 27000
Employment Type : Full-Time
Experience: years
Vacancy: 1
Yearly Salary Salary: 75000 - 95000
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