About The Position

AIG’s Investments group is responsible for managing the investment assets of AIG, including affiliated insurance companies, through internal and external managers. The Investments Compliance team provides compliance and regulatory support to AIG’s Investments group, along with assisting in the oversight of external managers. The ideal candidate will have extensive regulatory asset management experience with a focus on U.S. domiciled insurance companies and will work closely with the Chief Compliance Officer in the day-to-day execution of the compliance program.

Requirements

  • Minimum of 3 years of experience in guideline monitoring using BlackRock Aladdin, Charles River, Sentinel, Bloomberg AIM, or a similar system.
  • Technical understanding of investment products and financial instruments, and the aggregation of exposures to perform compliance testing.
  • Fixed income compliance experience is required.
  • Bachelor’s degree required.
  • Strong work ethic with great attention to detail and ability to communicate effectively.

Nice To Haves

  • Exposure to private credit, mortgage loans, private equity, real estate and derivatives is a plus.
  • Working knowledge of NY, DE and PA U.S. State insurance investment regulation, along with NAIC Model Laws – Investments of Insurers Model Act.
  • Background understanding of the Investment Advisers Act of 1940 and the Investment Company Act of 1940 is a plus.
  • Familiarity with manager-of-manager structures.

Responsibilities

  • Review and capture investment restrictions from investment guidelines, state insurance investment regulations and reinsurance/trust agreements.
  • Code, test and implement investment restrictions in BlackRock Aladdin and Bloomberg.
  • Review exceptions out of the compliance module and perform manual controls testing.
  • Perform ad-hoc/quarterly controls review specifically for the General Account and reinsurance mandates.
  • Interact/partner with CIO, investment managers, and Legal to ensure compliance with investment restrictions, including coordinating on interpretive issues.
  • Serve as a strategic partner with other control function teams throughout the firm (Legal, SOX/Audit, Investment Accounting, Technology, Operations, and Risk) to advance the control framework.
  • Review and update compliance policies and procedures.
  • Provide training on compliance policies and procedures.
  • Collaborate within Legal on regulatory filings (13F, 13G/D, 13H, etc.).
  • Perform compliance due diligence of external managers compliance programs.
  • Implement solutions to challenges and issues that are raised by stakeholders.
  • Scope and lead special projects and ad hoc assignments.

Benefits

  • Total Rewards Program, a comprehensive benefits package that extends beyond time spent at work to offer benefits focused on your health, wellbeing and financial security—as well as your professional development
  • Volunteer Time Off and Matching Grants Programs
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