Financial Services Insurance Associate — United States (various offices)
- Work typeOn-site
- Experience3–5 PQE
- PracticeInsurance, Compliance & Regulatory, Finance & Banking
A global law firm
Apply in confidence →Join a global firm’s Financial Services practice as an Associate focused on insurance regulatory and compliance matters. The team advises insurers, private equity sponsors, healthcare systems and other industry participants on regulatory filings and approvals, insurer formation and licensure, holding company compliance, market-entry work, and related corporate transactions.
Day-to-day work combines transactional and regulatory matters: drafting regulatory filings and policies, supporting mergers, acquisitions and joint ventures involving insurance businesses, responding to insurance department inquiries, and assisting with market conduct and financial examinations. The role offers exposure to regulatory interactions and opportunities to build deep insurance regulatory expertise.
This opening is available in multiple U.S. offices; candidates should be prepared for hands-on client work and increasing client responsibility.
- JD from an accredited law school and strong academic record
- Admission to practice in the state of the Associate’s primary office
- 3–5 years' relevant experience in insurance regulatory, compliance, or related transactional work
- Experience drafting regulatory filings, policies, corporate documents, and transactional agreements
- Working knowledge of state and federal insurance laws and experience interacting with insurance regulators
- Excellent drafting, research, communication and client-relationship skills; able to work independently and manage competing priorities
Apply for this role
Confidential. We never contact your current employer.