We're now at the boldest phase of our Next Horizon journey
At Gore Mutual, we've completely transformed our business in under three years. By investing in top talent and leading technology, we've redefined what it means to be a modern mutual that does good.
Our path forward brings a sharper focus on our business' performance that's powered by innovation and an agile, high-performing culture – we're built for success.
We're well on our way to becoming a purpose-driven, digitally led national insurer. Come join us.
The Compliance Specialist supports the Compliance Manager in delivering efficient and effective enterprise Compliance programs. Leveraging their compliance expertise, the Specialist provides support through research and analysis, response support, monitoring and testing support, regulatory filings, and regulatory readiness assessments. The Compliance Specialist will be responsible for fostering strong partnerships across the organization's business units to assist in strategically identifying, implementing, testing, and monitoring compliance controls.
What will you do?
Regulatory Compliance Management Program Support
* Assist in maintaining and enhancing the risk-based enterprise-wide compliance program, ensuring adherence to regulatory and policy requirements.
* Compliance incident intake and initial response support.
* Proactively collaborate with business units to address regulatory requirements and potential concerns, ensuring they are mitigated effectively and escalated when necessary.
Monitoring and Testing Support
* Conduct regular monitoring and testing of regulatory controls within business units, assessing the design and effectiveness of these controls and identifying any material regulatory risks.
Regulatory Relations Support
* Regulatory filings (RRS and other).
* Sanctions scanning and reporting support.
Regulatory Readiness Support
* Assist in assessing and documenting organizational readiness for upcoming or changing regulatory requirements through the Regulatory Readiness Program.
What will you need?
* A diploma or certificate from a community college in finance, business administration, legal, or public policy.
* Undergraduate degree is preferred but not mandatory.
* 3+ years of experience in Compliance roles.
* Strong understanding of regulatory requirements, and the ability to interpret and apply them within the P&C insurance industry.
* Capability to manage tasks and deadlines, effectively prioritizing projects.
* Ability to take the initiative on projects and complete them efficiently with little direction.
* Able to adapt to changes in the work environment, manage competing demands, and deal with frequent change, delays, or unexpected events.
* Ability to interact with business contacts, external advisors, regulatory authorities, government officials, and outside parties in a confident, courteous, and professional manner.
* Attention to detail, capable of a high degree of mental concentration for extended periods of time.
* Exceptional writing, editing, and proofreading skills.
* Highly proficient with Microsoft Office applications, including advanced Excel and PowerPoint skills, with experience with OnSpring considered an asset.
* Speed in execution and effectiveness.
#J-18808-Ljbffr