We’re looking for a collaborative and solutions-oriented professional with deep expertise in annuity and insurance supervision, regulatory requirements, and risk management. In this role, you’ll review annuity and insurance transactions to help ensure business is conducted in accordance with firm policies, supervisory standards, and regulatory expectations while supporting a culture of integrity, compliance, and client-focused decision making. You’ll serve as a trusted partner to Financial Advisors, branch associates, branch leadership, and internal business partners, helping navigate supervisory requirements in a practical and business-minded way. You’ll evaluate transaction suitability, identify documentation gaps or supervisory concerns, provide guidance on regulatory expectations, and collaborate across teams to resolve complex or sensitive matters while maintaining firm and industry standards. Success in this role comes from your ability to exercise sound judgment, communicate with confidence, and manage competing priorities in a highly regulated environment. You’ll serve as a subject matter expert on annuity and insurance products, industry regulations, and supervisory practices, while identifying trends, recommending process improvements, and helping strengthen the quality and consistency of supervisory outcomes across the business.
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Job Type
Full-time
Career Level
Senior