Regulatory Compliance Specialist III

Cleveland, Ohio
Not Specified
Sep 14, 2016
Nov 13, 2016
Job Type
Not Specified
Career Level
Not Specified

Title_Regulatory Compliance Specialist III_

About the OrganizationAmTrust Financial Services, Inc., (Nasdaq: AFSI) headquartered in New York City, is a multinational insurance holding company, which, through its insurance carriers, offers specialty property and casualty insurance products, including workers' compensation, commercial automobile and general liability; extended service and warranty coverage.

PositionRegulatory Compliance Specialist III

LocationOH, Cleveland

DescriptionAmTrust Financial Services has been ranked by Fortune Magazine as one of the 100 fastest growing companies in America. We provide Worker's Compensation and Specialty Market Property and Casualty insurance to small and mid-sized businesses as well as select niche markets. As a result of our growth, we are expanding our product compliance team in our downtown Cleveland office and are seeking a Regulatory Compliance Specialist. Your responsibilities will be to:
  • Monitor the activities of the Insurance Services Office (ISO) for one or more lines of business and document changes that affect our products
  • Review for compliance all proposed changes to our insurance products for which you are the assigned analyst.
  • Prepare and assemble product materials needed for submission to state Departments of Insurance for their review and approval.
  • Work with state regulators to resolve Department of Insurance objections to our company's proposed insurance products
  • Research insurance statutes and prepare spreadsheets or memoranda on the topic(s) reviewed.
  • Maintain timely and accurate records, mostly using Excel
  • File insurance products via SERFF or other state filing portal
  • Provide excellent customer service to both internal and external customers of our organization

    Open Date9/12/2016

    Position RequirementsThe ideal candidate will have deep, demonstrable experience with one or more commercial insurance lines of business as a compliance professional, underwriter or P&C agent. Lines key to our interest include but are not limited to: general liability, commercial auto, commercial property, professional liability, surety, etc. This person will dig for answers and understanding but not be flustered by changing priorities or a fast pace. They will get along well with diverse personalities and generously share knowledge within the group. The ideal candidate will make our group smarter, happier and more motivated to succeed. Qualifications:
  • At least 3 years of insurance experience in compliance, underwriting or agency administration required (paralegals with P&C experience will be considered)
  • Bachelor's degree preferred
  • Need to be proficient with the Microsoft Office suite of products, particularly Excel
  • Must be able to juggle changing priorities and manage time effectively
  • CPCU, ACP, AINS, ARC or CCP are a plus.


    Req NumberAUD-16-00023


    Number of Openings1

    Employee Referral Eligible

    Employee Referral PayoutThis position is currently accepting applications.