About Company
Intact Financial Corporation is the largest provider of property and casualty (P&C) insurance in Canada, a leading provider of specialty insurance in the U.S., and a leader in P&C insurance in the U.K. and Ireland. Our purpose is to help people, businesses, and society prosper in good times and be resilient in bad times. We are driven by a commitment to operational excellence, innovative solutions, and unwavering integrity. With a strong focus on compliance and ethical conduct, Intact is dedicated to fostering a work environment where every employee can thrive and contribute to a company that puts customers first. Join a team where your expertise makes a real difference in protecting futures.
Job Description
Are you a meticulous compliance professional with a proactive mindset and a passion for upholding the highest ethical standards? Intact Financial Corporation, the largest property and casualty insurer in Canada and a significant player in the U.S. and U.K. through its specialty lines, is seeking a dedicated and experienced Compliance Officer to join our team in Meridian-Kessler, Indianapolis. This is an immediate start opportunity for an individual ready to dive into a challenging yet rewarding role within a dynamic and growth-oriented organization that values integrity and operational excellence.
As an Intact Compliance Officer, you will be instrumental in safeguarding our operations against the ever-evolving landscape of regulatory risks, ensuring strict adherence to federal and state laws, industry regulations, and our robust internal policies. You will serve as a critical advisor, providing expert guidance to various business units on compliance matters, developing and implementing comprehensive compliance frameworks, and actively fostering a strong culture of integrity and accountability across the organization. This role demands a keen eye for detail, exceptional analytical capabilities, and the ability to translate complex regulatory requirements into clear, actionable strategies that support our business objectives without compromising our commitment to compliance.
You will be at the forefront of identifying, assessing, and mitigating potential compliance risks, playing a pivotal role in maintaining our impeccable reputation and ensuring operational excellence. This isn’t merely about ticking boxes; it’s about proactively shaping our compliance posture, conducting thorough internal reviews, educating stakeholders at all levels, and contributing directly to our ongoing success and unwavering commitment to our clients, partners, and regulatory bodies. We are looking for someone who thrives in a fast-paced environment, can adapt quickly to new challenges, and possesses the superior communication skills necessary to articulate complex compliance needs effectively to both technical experts and non-technical business leaders. Join Intact and contribute to an organization where trust, transparency, and regulatory excellence are not just buzzwords, but fundamental principles embedded in everything we do. Your expertise will directly impact our ability to serve our communities and partners responsibly and effectively, ensuring we continue to grow with integrity.
Key Responsibilities
- Develop, implement, and maintain comprehensive compliance programs and internal controls.
- Monitor changes in regulatory requirements and disseminate information to relevant stakeholders.
- Conduct regular compliance risk assessments and internal audits to identify potential areas of non-compliance.
- Provide expert advice and guidance to business units on regulatory matters, ensuring adherence to policies and procedures.
- Deliver compliance training sessions to employees at all levels, fostering a culture of awareness and responsibility.
- Prepare and submit regulatory reports to relevant authorities accurately and on time.
- Investigate and resolve compliance-related issues, breaches, or complaints promptly and effectively.
- Maintain meticulous records of compliance activities, investigations, and resolutions.
- Liaise with external auditors and regulatory bodies during examinations and inquiries.
Required Skills
- Minimum of 4 years of experience in a compliance role, preferably within the financial services or insurance industry.
- In-depth knowledge of U.S. federal and state insurance laws, privacy regulations (e.g., GLBA), and other relevant financial compliance standards.
- Proven ability to interpret complex regulations and translate them into practical business solutions.
- Exceptional analytical, problem-solving, and decision-making skills.
- Strong written and verbal communication skills, capable of presenting complex information clearly.
- High level of attention to detail and accuracy.
- Proficiency in compliance management software and Microsoft Office Suite.
- Bachelor's degree in Business, Finance, Law, or a related field.
Preferred Qualifications
- Relevant professional certifications such as Certified Anti-Money Laundering Specialist (CAMS), Certified Regulatory Compliance Manager (CRCM), or similar.
- Master's degree or Juris Doctor (JD) degree.
- Experience with compliance in a multi-jurisdictional environment.
- Project management experience, particularly in implementing compliance initiatives.
Perks & Benefits
- Competitive annual salary and performance-based bonus opportunities.
- Comprehensive health, dental, and vision insurance plans starting on day one.
- 401(k) retirement plan with generous company matching contributions.
- Paid time off, including vacation, sick leave, and company-paid holidays.
- Opportunities for continuous professional development, training, and career advancement.
- Employee wellness programs and resources to support a healthy work-life balance.
- An inclusive, collaborative, and supportive company culture.
How to Apply
Ready to make a significant impact? Click the application link below to submit your resume and cover letter. We look forward to reviewing your qualifications and learning how your expertise can contribute to Intact Financial Corporation.