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OneMain Financial: Compliance Manager- Insurance

OneMain Financial

This is a Part-time position in Fort Worth, TX posted September 3, 2021.

OneMain Financial is the country’s largest lending-exclusive financial company, proudly serving millions of customers with safe, affordable, and transparent installment loans.

Our customers turn to us every day—online and at 1,500 branches in 44 states—to help them take control and improve their financial lives with solutions for debt consolidation, medical expenses, household bills, home improvements and auto purchases.

Our talented and dedicated team members constantly look for responsible ways to serve our customers when, where and how they want.

It’s all about doing the right thing—a mission that hasn’t changed for more than 100 years.Responsibilities Manages insurance and consumer financial regulatory compliance activities, working closely with applicable stakeholders (Operations, Technology, Risk etc.).

Provides guidance to the business about practical and effective solutions to regulatory compliance challenges.Drives strategies and plans for continual enhancement of the Compliance Management System, as applicable to their assigned insurance and consumer financial protection laws / regulations and / or business processes or functional areas.Fully knowledgeable of assigned insurance and consumer financial protection laws / regulations and / or business processes or functional areas, as well as a broad understanding of the entire Compliance function and the related business functions.Evaluates business practices and monitors transactions to ensure that business is conducted in compliance with all applicable laws, regulations and internal policies and procedures; champions the escalation, tracking and successful and prompt closure of identified issues or concerns.Cutting edge knowledge of new insurance and consumer financial protection laws, rules, products, technologies, and applications, and assesses implications for assigned areas.Provides assistance in executing the insurance complaint management process from receipt to resolution.Provides guidance in the development of regulatory compliance policies and procedures.

QualificationsThe candidate should have minimum of a bachelor’s degree.

Advanced degrees or licenses, including an MBA, JD, and/or other certifications (e.G., CRCMP, CRCP, MCM, CIA, CPA) are a plus.The candidate must have knowledge of the key National Association of Insurance Commissioners model regulations and related state insurance regulations and some knowledge of the Consumer Financial Protection Bureau and other consumer financial protection regulations.The candidate should have excellent project management skills, strong writing, analytical and communication skills and be able to multi-task and complete projects on time.The candidate should be a self-starter and organized; able to work independently, without supervision; able to solve problems and offer solutions; able to influence otherstakeholders and drive results.The candidate should have strong research skills, advanced skill in the use of Microsoft Word, Excel, PowerPoint, Outlook, and experience with on-line research systems.The candidate should have experience developing and implementing regulatory compliance controls; also, should be able toconstruct and execute tests of regulatory controls (adequacy of design and effectiveness).The candidate should have some experience in complaint handling; includes collaboration with stakeholders, reviewing for root cause, gathering, and assessing data for analytics and trending for distribution to management and other purposes.

Benefits Because we want our team members to bring us their very best every day, we believe they deserve the right opportunities and benefits.

That’s why we packed our comprehensive benefits package for full and some part-timers with: Health and wellbeing options for team members and their dependentsUp to 4% matching 401(k)Tuition reimbursementContinuing educationBonus eligibilityPaid time offPaid volunteer time #LI-AH1

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