Lead Compliance Surveillance Analyst

Aegon

United States

Hybrid

USD 90,000 - 100,000

Full time

14 days+
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Job summary

Aegon is seeking a Compliance professional to mitigate regulatory and sales practice risk across insurance and securities distribution channels in the United States. The role conducts surveillance reviews, investigates potential compliance risks, analyzes trends, and partners with business units to ensure adherence to laws and company standards.

The position requires five years in regulatory, securities, or advertising compliance, a bachelor's degree, and knowledge of securities laws (Series

Qualifications

  • Bachelor’s degree or equivalent education/experience.
  • Five years of regulatory, securities, or advertising compliance experience.
  • Experience in areas like contract development, claims, underwriting, legal research, fraud or AML investigations and/or communications.
  • Securities knowledge: Series 7 & 24 or Series 6 & 26 where applicable.
  • Strong written and verbal communication skills.
  • Analytical and research skills.
  • Proficiency using MS Office tools.

Responsibilities

  • Review policies, procedures, surveillance methods, controls and risk practices for enhancements.
  • Support surveillance enhancements and controls to mitigate oversight, conduct and sales risk.
  • Perform risk-based surveillance and analytics to detect regulatory and conduct concerns across data.
  • Lead design, development, testing of new surveillance scenarios and reporting.
  • Produce management reporting on surveillance activity, trends and root causes.
  • Assist with regulatory examinations, audits, inquiries and remediation efforts.
  • Oversee case outcomes including monitoring, remediation or escalation.

Skills

Written and verbal communication
Analytical skills
MS Office proficiency

Education

Bachelor’s degree in business / related field

Tools

MS Office

Job description

As a key member of the Compliance department, this role helps mitigate legal, regulatory, operational, and reputational risk by supporting oversight and sales practice surveillance across insurance and/or securities distribution channels . This role conducts complex surveillance reviews, investigates potential compliance risks, analyzes trends and collaborates with business partners to support adherence to regulatory requirements, company policies and sales practice standards.

Job Description
  • Review and evaluate existing policies, procedures, surveillance methodologies, monitoring controls, and risk management practices to identify opportunities for enhancement.
  • Recommend and support the implement of process improvements, surveillance enhancements, and controls designed to mitigate agent oversight, conduct and sales practice risk.
  • Conduct risk-based surveillance and monitoring activities to identify potential regulatory, compliance, supervisory, and business conduct concerns. Analyze agent, customer, policy/account and transaction data to detect patterns, trends and emerging risks related to sales and servicing practices to support compliance with applicable company standards regulatory requirements, and market conduct expectations.
  • Lead and support the design, development, and testing, of new or enhanced surveillance scenarios, risk indicators, reporting, analytics, procedures, and enterprise-wide initiatives.
  • Develop, analyze, produce, and present management reporting that summarizes surveillance activity, trends, findings, root causes, emerging risks, corrective actions recommendations for strengthening controls and improving compliance oversight.
  • Support regulatory examinations, audits, inquiries, internal reviews, and information requests by gathering documentation, preparing analyses, coordinating responses, and assisting with remediation efforts to address identified findings and strengthen control environments.
  • Proactively contributes to departmental initiatives, quality assurance reviews, process optimization efforts, and continuous improvement activities designed to enhance the effectiveness, efficiency, and overall maturity of the compliance surveillance program. ----Lead routine to complex reviews and investigations of potential agent misconduct, sales practice concerns, and elevated conduct risks by analyzing policy, customer, agent, and transaction information for patterns, trends, and risk indicators; evaluate activity for compliance with state insurance regulations, suitability requirements, replacement regulations, company standards, and market conduct expectations; and document findings, conclusions, recommendations, and rationale in a clear and defensible manner.
  • Determine and coordinate appropriate case outcomes, including additional monitoring, corrective action, remediation, escalation, or referral to Compliance, Legal, Distribution, Licensing, Fraud/SIU, or other business partners.
Qualifications
  • Bachelor’s degree in business, marketing, pre-law or other relevant field, or equivalent education and experience.
  • Five years of regulatory, securities, or advertising compliance experience.
  • Areas of experience desired may vary based upon assigned compliance functions and may include contract development, claims, underwriting, legal research, fraud or anti-money laundering investigations and/or communications.
  • Securities and some advertising industry positions require expert knowledge of the securities laws, regulations, rules, and applicable FINRA licensing. (Series 7 & 24 or Series 6 & 26, as applicable)
  • Written and verbal communication skills.
  • Analytical and research skills.
  • Proficiency using MS Office tools.
Working Conditions
  • Hybrid office environment (Tuesday, Wednesday, Thursday)
  • Locations: Denver, Cedar Rapids, Philadelphia, Baltimore
Compensation

The Salary for this position generally ranges between $90,000.00 - $100,000.00 annually. Please note that the salary range is a good faith estimate for this position and actual starting pay is determined by several factors including qualifications, experience, geography, work location designation (in-office, hybrid, remote) and operational needs. Salary may vary above and below the stated amounts, as permitted by applicable law.

Applicants must possess legal authorization to work for our company in the U.S. without the need for immigration, sponsorship or otherwise serving as an employer of record for immigration employment purposes. At this time, this role is not eligible for immigration-related employment authorization sponsorship.

This job description is not a contract of employment nor for any specific job responsibilities. The Company may change, add to, remove, or revoke the terms of this job description at its discretion. Managers may assign other duties and responsibilities as needed. In the event an employee or applicant requests or requires an accommodation to perform job functions, the applicable HR Business Partner should be contacted to evaluate the accommodation request.

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