Compliance Education Coordinator

Posted 12 Days Ago
Be an Early Applicant
Duluth, GA, USA
In-Office
70K-80K Annually
Junior
Financial Services
The Role
Designs and administers annual compliance training for Home Office employees and securities-licensed field agents. Responsibilities include needs analysis, training content development, program rollout, completion reporting, compliance newsletters and bulletins, policy updates, regulatory help desk support, and coordination with senior leaders. The role also manages training-related suspensions and terminations, supports field events, and maintains compliance resources and firm written supervisory procedures.
Summary Generated by Built In
Join Our Team

In 2025, USA Today recognized Primerica as a Top Workplace USA for the fifth year in a row, and Newsweek named Primerica one of America’s Greatest Workplaces for Diversity for the second consecutive year. In 2024, the Atlanta Journal-Constitution named Primerica as a Top Workplace for the eleventh consecutive year, and Forbes recognized Primerica as one of America’s Best Employers for Women for the fifth year in a row. In addition, for the tenth time Primerica has been voted a Best Employer by Gwinnett Magazine. Primerica is a great place to work! Join our team to experience what it’s like to work at “one of the best places to work in the metro Atlanta”.

About this Position

The Compliance Education Coordinator designs, plans, and implements the required annual compliance training programs for Home Office employees and field agents to meet regulatory requirements. Serves as Home Office Principal responsible for the ACM, Firm Element CE, and Training for the Primerica Sales Force.
This is a hybrid position that involves working 3 days onsite in the Duluth, Georgia office and 2 days remotely.
The salary range for this position is between 70K-80K Annually

Responsibilities & Qualifications

ESSENTIAL DUTIES AND RESPONSIBILITES:

  • Conduct a needs analysis to determine training needs for the field, and lead meeting with CCO to review the needs analysis and propose changes to training based on needs. 
  • Create training program by writing program outline, writing/coordinating scripts, and coordinating filming.
  • Lead annual meeting with Primerica CEO, President, and General Counsel, preparing them for filming and drafting scripts for them to use during filming.   
  • Manage rolling out program to the field.
  • Conduct email campaign with RVPs and reps who have not completed required training.
  • Process suspensions and ultimate termination of securities licensed reps who fail to complete the required training, leading meetings with senior department leaders to coordinate the process.
  • Coordinate annual SME review of training program.
  • Collaborate with the Learning Center to ensure the training programs are updated and rolled out to the Home Office.
  • Conduct reporting to track completion and ensure negative attestation responses are appropriately addressed.
  • Produce two semi-annual newsletters by determining newsletter outlines and editing and/or writing articles.
  • Lead quarterly meetings with CCO to review newsletter drafts before finalizing.
  • Update and publish quarterly recurring Securities Compliance Field Bulletins.
  • Propose and make edits to existing bulletins and draft new bulletins, and work with Department leaders on the same.
  • Lead quarterly meetings with CCO to review bulletins to circulate each quarter.
  • Complete ad hoc projects as needed. Coordinate compliance roadshow training meets, or equivalent field meetings.
  • Responsible for ensuring content on Compliance Page on POL remains accurate, current and relative.
  • Develop Compliance materials for special field events such as MIT, WIP, and Convention.
  • Edit, publish, and coordinate changes to Firm WSPs, including leading an annual review of the Firm's primary WSPs.
  • Respond to Compliance Help Desk questions from the field as well as questions from Home Office Employees that cover a wide variety of topics including but not limited to outside business activities, Form U4 requirements, customer complaints, trade review, new business, registration, legal documents (i.e. POAs, Trusts, beneficiaries), outside brokerage accounts, supervision, updates to forms, applications, policies and procedures, etc.

REQUIRED SKILLS AND ABILITIES:

  • Ability to manage multiple priorities and quickly and efficiently adapt to changes in procedures or policies
  • Ability to function independently as well as well as cooperatively
  • Ability to perform assigned tasks within the specified time frames and meet quality expectations
  • Ability to conduct research and provide management with proposed solutions
  • Thorough and detail-oriented with aptitude for identifying risk and capability to research complex problems and collaborate to create solutions
  • Microsoft Office products, e.g., Word, Excel, etc.
  • Excellent analytical, research, and writing skills
  • Excellent interpersonal relationship skills
  • Excellent verbal and written communication skills
  • Strong sense of ethics, accountability, and judgment

MINIMUM REQUIRED QUALIFICATIONS:

  • Bachelor’s degree in Communications, English, Finance, or equivalent experience
  • Minimum of 1-year experience required managing projects and coordinating with various departments and employees of all levels
  • FINRA SIE, Series 6/7 and Series 24/26 securities licenses (or obtained within 150 days of hire)

PREFERRED QUALIFICATIONS:

  • FINRA Series 65/66 securities license
  • Experience with FINRA, SEC, State DOIs

This is a hybrid position that involves working 3 days onsite in the Duluth, Georgia office and 2 days remotely.

FLSA status:
This position is exempt (not eligible for overtime pay):

Yes

Our Benefits:
  • Day one health, dental, and vision insurance

  • 401(k) Plan with competitive employer match

  • Vacation, sick, holiday and volunteer time off

  • Life and disability insurance

  • Flexible Spending Account & Health Savings Account

  • Professional development

  • Tuition reimbursement

  • Company-sponsored social and philanthropy events

It has been and will continue to be the policy of Primerica, Inc., and its subsidiaries to be an Equal Opportunity Employer. We provide equal opportunity to all qualified individuals regardless of race, sex, color, religious creed, religion, national origin, citizenship status, age, disability, pregnancy, ancestry, military service or veteran status, genetic or carrier status, marital status, sexual orientation, or any classification protected by applicable federal, state or local laws.

At Primerica, we believe that diversity and inclusion are critical to our future and our mission – creating a foundation for a creative workplace that leads to innovation, growth, and profitability. Through a variety of programs and initiatives, we invest in each employee, seeking to ensure that our people are not only respected as individuals, but also truly valued for their unique perspectives.

Skills Required

  • Bachelor's degree in Communications, English, Finance, or equivalent experience
  • At least 1 year of experience managing projects and coordinating across departments and employee levels
  • FINRA SIE license
  • FINRA Series 6 or Series 7 license, or obtain within 150 days of hire
  • FINRA Series 24 or Series 26 license, or obtain within 150 days of hire
  • FINRA Series 65 or Series 66 license
  • Experience with FINRA, SEC, and State DOIs
  • Strong analytical, research, writing, interpersonal, verbal, and written communication skills
  • Ability to manage multiple priorities, adapt to policy changes, work independently and collaboratively, and meet deadlines
  • Strong ethics, accountability, judgment, attention to detail, and risk-identification ability
  • Proficiency with Microsoft Office products, including Word and Excel

Primerica Compensation & Benefits Highlights

The following summarizes recurring compensation and benefits themes identified from responses generated by popular LLMs to common candidate questions about Primerica and has not been reviewed or approved by Primerica.

  • Pay Growth & Progression — Feedback suggests the commission-based model offers uncapped earning potential and clear performance-linked upside for those who consistently produce. Incentive trips and bonuses for top producers reinforce earnings growth when pipelines are strong.
  • Retirement Support — Company materials highlight a 401(k) plan for corporate employees with a competitive, generous company match. This retirement support is positioned as a notable part of the corporate benefits package.
  • Leave & Time Off Breadth — Corporate disclosures describe paid planned and unplanned time off, 11 paid holidays, and paid volunteer time for eligible employees. These provisions indicate robust time-off coverage within corporate roles.

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The Company
HQ: Duluth, GA
16,799 Employees
Year Founded: 1977

What We Do

Primerica is a leading financial services company in North America, with more than 2,000 corporate employees who support more than 129,000 licensed independent representatives providing financial education and offering financial products and services to their clients. Primerica has been operating for more than 40 years and is publicly traded on the New York Stock Exchange (NYSE) under the symbol "PRI." Primerica’s focus is on serving the needs of middle-income consumers by providing products such as term life insurance, mutual funds, annuities, and more. In addition to the products and services we offer, Primerica also offers entrepreneurial-minded individuals the opportunity to build their own financial services business. More information about Primerica's Business Opportunity can be found on www.primericabusinessopportunity.com. Headquartered in Duluth, Georgia, Primerica operates throughout the U.S., Canada, and the territories of Puerto Rico and Guam. We believe financial security should be possible for everyone, so we strive to meet families where they are today and help them be better prepared for their future.

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