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Compliance Sr Analyst

Compliance Sr Analyst

CompanyAthene
LocationWest Des Moines, IA, USA
Salary$Not Provided – $Not Provided
TypeFull-Time
DegreesBachelor’s
Experience LevelSenior

Requirements

  • Bachelor’s or other Advanced Degree or equivalent combination of education, certification, and experience is required.
  • FINRA Series 6 and 26 required.
  • Minimum of 4 years of compliance specific experience, including detailed understanding of annuities and life insurance products, how they function, and key aspects of their administration is preferred.
  • Excellent verbal and written communication with the ability to influence across departments and persuasively build coalitions for new initiatives/ideas, which will include leading cross-functional activities of participants who do not report to the Senior Analyst.
  • Results oriented individual with proven track record of taking ownership to complete program/projects on time and according to agreed-upon project expectations with the ability to direct, manage, and message change throughout the project lifespan.
  • PC skills, including experience with Microsoft Office and other applicable software.
  • Possess a high level of integrity – must always show good judgment and confidentiality.

Responsibilities

  • Management of Athene Securities policies and procedures, including the Written Supervisory Procedures and Compliance Manual.
  • Build out a branch office inspection process and perform oversight, onsite periodically, as required.
  • Participate in oversight of dual-registered representatives. Applies working knowledge of FINRA broker-dealer regulations.
  • Supports the Financial Institution/Broker-Dealer suitability delegation oversight process in the areas of certifications, reporting, and auditing.
  • May participate and coordinate the regulatory review process (new state and federal legislation) and communication of new regulatory items to the business units.
  • Performs compliance activities as an expert on the team. Likely to collaborate with other technical advisors in Compliance and Legal.
  • Build and maintain effective relationships with internal parties to arrive at collaborative solutions.
  • Considers and raises compliance risks on the team.
  • Identifies needs during participation in cross-functional projects and raises issues to leadership.
  • Position could include support for the 38a-1 process and third-party administrator (vendor) oversight and support for the variable policies and procedures.

Preferred Qualifications

  • Experience in performing branch office inspections is a plus.
  • At least five to seven years of compliance and/or insurance industry experience preferred in lieu of or in combination with a degree.