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New York Life Insurance Company is the largest mutual life insurance company in the United States. Founded in 1845 and headquartered in New York City, New York Life reported 2017 operating earnings of $2.06 billion. Total assets under management at year end 2017, with affiliates, totaled $586 billion.
New York Life holds the highest possible financial strength ratings currently awarded to any life insurer from all four of the major ratings agencies: A.M. Best, A++; Fitch AAA; Moody's Aaa; Standard & Poor's AA+ (Source: Individual independent rating agency commentary as of 8/1/17).
Financial strength, integrity and humanity-the values upon which New York Life was founded-have guided the company's decisions and actions for over 170 years.
New York Life's compliance department is seeking a Corporate Vice President to head its Regulatory Review Team. The role includes managing a team of direct reports responsible for the regulatory reporting process and handling responses to broker-dealer, registered investment adviser, and insurance related inquiries and examinations by state regulators, FINRA and SEC. The Corporate Vice President reports to the Chief Compliance Officer of NYLIFE Securities/Eagle Strategies (Retail Broker-Dealer/Registered Investment Adviser). The role offers a high degree of visibility and direct engagement with regulators and members of senior management.
Job Function and Key Duties & Responsibilities
Lead and develop a team of compliance professionals responsible for handling all aspects of compliance with the regulatory reporting process and responding to regulatory requests and examinations.
Establish and direct the strategy for the team and provide day-to-day oversight ensuring that:
NYL continues to meet or exceed industry best practices
Matters are handled timely, accurately, in a manner consistent with applicable state and federal laws and rules, including SEC and FINRA requirements, New York Life policies and procedures
Identified issues are escalated to senior management and business partners
The team collaborates and coordinates with other stakeholders to help prevent, detect and advise on necessary corrective actions, including relevant internal business partners and internal legal counsel
Necessary Form U4 and Form U5 amendments, and Rule 4530 filings in connection with customer complaints, litigations/arbitrations, internal reviews, disciplinary proceedings, terminations, sales practice issues are made
Concerns voiced by regulators are addressed and incorporated into policies, procedures, and training
The team provides guidance to the company on regulatory expectations, relevant industry hot topics, new rules and regulations
Needed technology remains current and functional
Team members are supported, developed, and their work product is supervised and reviewed
7 plus years work experience in financial services
Extensive knowledge of and experience with a broker-dealer, registered investment adviser, insurance company or regulatory agency and strong overall knowledge of federal securities laws and SEC and FINRA regulations
Strong working knowledge of life insurance products, annuities and broker-dealer compliance including field agent and advisor sales practice issues.
Experience managing and leading others, with the ability to engage, motivate and develop employees and retain talent.
Demonstrated ability to work collaboratively with key business partners and regulators.
Strong technical skills with emphasis on practical application of federal and state securities laws, regulations and procedures.
Must demonstrate excellent judgment, the ability to make decisions and influence others.
Strong quantitative, critical thinking, problem-solving and analytical skills.
Excellent interpersonal and relationship building skills, a high degree of professionalism, and the ability to manage in a complex and dynamic environment
Bachelor's degree and JD required;
Series 7/24 required within 6 months
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Internal Number: 4673447
About New York Life Insurance Company
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