Senior Analyst, Corporate Compliance
NationwideAbout the role
This opening will be positioned on the Insights & Performance Optimization team within P&C/Pet Compliance, reporting to Brian Neumayer.
The role will play a crucial part in supporting our reporting and continuous monitoring efforts, assisting with the continued development of compliance risk monitoring for P&C and Pet.
Expertise in data querying (e.g., SQL) and experience with the Power Platform is strongly recommended.
This position is open to remote work options.
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(Internal Use Only) Compensation Band: E3
Job Description Summary
Are you someone who is compelled to “do the right thing” and able to make decisions to ensure regulatory and legal compliance that protects a business and its customers? If you thrive in an environment where you can tackle tricky issues and achieve business goals within the complex, highly regulated insurance industry, we want to know more about you!We work across the enterprise to help find innovative ways to work through issues. Nationwide's culture of compliance and passion for providing extraordinary care to its customers makes the Office of Compliance & Ethics a valued partner within Nationwide.
As a Senior Analyst, you will help to ensure that business operations are conducted in compliance with regulatory and legal requirements and company policies. You’ll participate in various types of compliance reviews with business units to detect compliance related issues and help build and deliver innovative solutions.
Job Description
Key Responsibilities:
Analyzes various regulations impacting the products and procedures of assigned product and/or functional area. Assists in development of policies and procedures and supports collaboration with our business partners to implement them.
Clearly communicates policy changes and updates impacting compliance and responds to inquiries.
Manages internal manuals, documentation files, and other related regulatory records to ensure that our records and resources are up-to-date and remain accurate.
Assists in the development of various reports and metrics.
Performs testing on business unit procedures to ensure compliance.
Collaborates with business unit to assist in developing corrective actions for identified compliance issues.
Stays up to date on compliance and regulatory industry updates and trends by attending professional seminars and continued education programs.
May host, assist with hosting or support compliance training or presentations for our business partners.
Identifies innovation and continuous improvement opportunities. Follows through to develop the ideas in collaboration with business partners and other Compliance staff.
May participate in regulatory exams, investigations, subpoenas, etc.
May perform other responsibilities as assigned.
Reporting Relationships: Reports to a Manager, Technical Director, Director, or Associate Vice President
Typical Skills and Experiences:
Education: Undergraduate studies in business administration, insurance, business ethics, criminal justice, computer science, finance or pre-law is preferred.
License/Certification/Designation: You may be required to acquire professional licenses/registrations within a designated time period.
Experience: Typically, three or more years of related work experience in financial services, insurance, compliance or a related subject area.
Knowledge, Abilities and Skills: Able to build and cultivate relationships. Demonstrates strong communication skills. Ability to set priorities, organize work, and meet timelines. Creative, innovative
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