About The Position

The Plan Document Compliance Senior Lead is responsible for ensuring the best interests of institutional clients and internal business partners and in accordance with plan documents and legal requirements. This job reviews plan documents, helps clients resolve complex operational and regulatory compliance issues relating to defined contribution retirement plans and consults with internal business partners and clients on how best to attain plan objectives while maintaining the plans' qualified status. As a recognized thought leader in defined contribution retirement plan document compliance, this job independently analyzes and interprets new laws and regulations to determine client and operational impacts and holds discussions to influence the best strategy to implement changes for clients and impacted internal partners. This job is responsible for delivering consultative services for the most complex plans, which primarily consists of the organization's most influential and highest AUM clients and has a significant impact to the organization's bottom line.

Requirements

  • Deep expertise in defined contribution retirement plan compliance, including ERISA and IRS regulations.
  • Strong ability to analyze complex plan documents, operational issues, and regulatory changes.

Nice To Haves

  • Ability to lead cross-functional initiatives and influence clients, legal advisors, and internal stakeholders.
  • Experience resolving operational errors under IRS EPCRS or DOL Voluntary Correction Programs.
  • Familiarity with recordkeeping systems and retirement plan administration platforms.
  • Track record of educating and mentoring teams on legislative and regulatory developments.
  • Experience managing complex, high-AUM institutional client relationships.

Responsibilities

  • Evaluates defined contribution retirement plan documents for internal recordkeeping problems, compliance issues or client concerns.
  • Provides new plan setup and review suggestions for plan design and/or administrative enhancements to influence client in using best practices while meeting client objectives.
  • Provides comparative analysis of plan provisions and protected benefits for corporate mergers and acquisitions.
  • Researches and resolves highly complex operational and regulatory compliance issues arising from both client questions and from internal plan document review activities, using available electronic and hard copy resources.
  • Conducts an analysis of options available if an operational error is discovered on the plan and communicates findings, discusses implications and offers alternative courses of action that client may take with internal parties, and/or client and client’s attorneys and other advisors as appropriate.
  • Analyzes impact of new regulations and legislation on client plan needs and operational processes and develops a strategy to influence client decisions to align with best practices.
  • Maintains highest level of regulatory knowledge and understanding of industry trends and educates team members, business partners and clients regarding legislative and regulatory developments.
  • Serves as a lead subject matter expert on defined contribution retirement plan document compliance and represents department in cross-functional and strategic initiatives.

Benefits

  • Our benefits include a superior retirement program and highly competitive health, wellness and work life offerings that can help you achieve and maintain your best possible physical, emotional and financial well-being.

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What This Job Offers

Job Type

Full-time

Career Level

Senior

Number of Employees

5,001-10,000 employees

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