Compliance Manager (P&C Insurance)

Posted Yesterday
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Atlanta, GA, USA
In-Office
Senior level
Insurance
The Role
Develop and maintain insurance compliance programs for wholesale brokerage and Excess & Surplus operations. Monitor state regulations, surplus lines requirements, licensing, market conduct, filings, audits, and operational controls across jurisdictions. Provide regulatory guidance, conduct compliance reviews, assess risks, implement corrective actions, develop training and reporting, and collaborate with brokerage, underwriting, legal, finance, HR, and carrier teams.
Summary Generated by Built In

Why Jencap? We are one of the largest wholesale insurance intermediaries in the United States with expertise in wholesale brokerage, binding authority, and program management. The common thread woven throughout our success story is our collaborative and driven team of people. Our teams are empowered and work together to find solutions. We have a passion culture – with teamwork, collaboration and a focus on growing individuals and giving them the tools & development opportunities to have a successful career. 

Jencap Partners is comprised of our corporate operations and service teams who support our staff in their commitment to achieve greatness and exceed the expectations of our agency partners. The goal of corporate functions is to provide the necessary infrastructure, expertise, and services that enable our business to thrive, while also contributing to the overall success, efficiency, and sustainability of the organization. We act as partners, aligning support strategies to achieve Jencap’s broader objectives. 

The Compliance Manager is responsible for developing, implementing, and maintaining compliance programs that support the organization's wholesale brokerage operations, with a specific emphasis on Excess & Surplus (E&S) lines business. This role serves as the subject matter expert on insurance regulatory requirements, licensing, surplus lines regulations, market conduct standards, and operational compliance processes.

The Compliance Manager partners closely with brokerage leadership, producers, carrier partners, underwriting teams, licensing, accounting, and operations to ensure adherence to state insurance regulations, company policies, and industry best practices. This position plays a critical role in mitigating regulatory risk while supporting business growth across multiple jurisdictions.

The Compliance Manager will work a hybrid schedule from our Atalanta, GA office.

Key Responsibilities

Regulatory Compliance & Governance

  • Monitor and interpret state insurance regulations affecting wholesale brokerage and E&S business operations.
  • Ensure compliance with surplus lines laws, filing requirements, tax regulations, diligent search requirements, and state-specific placement rules.
  • Develop, maintain, and update corporate compliance policies, procedures, and controls.
  • Provide regulatory guidance to producers, brokers, underwriters, and operational staff.
  • Serve as the primary point of contact for regulatory inquiries, audits, examinations, and market conduct reviews.

Licensing & Producer Compliance

  • Oversee agency, broker, and producer licensing activities across all operating jurisdictions.
  • Monitor license renewals, appointments, continuing education requirements, and regulatory registrations.
  • Ensure compliance with producer onboarding and termination processes.
  • Partner with HR and leadership to maintain regulatory compliance related to employee licensing requirements.

E&S and Wholesale Brokerage Compliance

  • Maintain expertise in E&S placement requirements and surplus lines regulations nationwide.
  • Monitor adherence to diligent search documentation requirements and surplus lines disclosures.
  • Review operational processes to ensure compliance with broker authority, binding authority agreements, and carrier requirements.

Risk Management & Auditing

  • Conduct periodic compliance reviews and internal audits.
  • Identify compliance gaps and implement corrective action plans.
  • Track regulatory developments and provide risk assessments to senior leadership.
  • Develop compliance monitoring metrics and reporting dashboards.
  • Maintain documentation supporting regulatory requirements and audit readiness.

Training & Education

  • Develop and deliver compliance training programs for brokers, producers, and operational teams.
  • Communicate regulatory changes and emerging compliance risks throughout the organization.
  • Promote a culture of compliance, ethics, and accountability.

Cross-Functional Collaboration

  • Partner with legal, operations, finance, underwriting, and carrier relations teams on compliance initiatives.
  • Assist with due diligence related to new markets, products, carriers, and strategic initiatives.
  • Participate in system implementations and process improvement efforts to strengthen compliance controls.

Requirements:   

Required

  • Bachelor's degree in Business, Risk Management, Insurance, Finance, Legal Studies, or related field.
  • 5+ years of insurance compliance, regulatory, legal, licensing, underwriting operations, or brokerage experience.
  • Direct experience with wholesale insurance brokerage and E&S insurance markets.
  • Strong knowledge of state insurance regulations and surplus lines compliance requirements.
  • Understanding of producer licensing, market conduct, and regulatory reporting requirements.
  • Excellent analytical, organizational, and communication skills.
  • Ability to manage multiple priorities in a fast-paced environment.

Preferred

  • Experience working with multi-state insurance operations.
  • Familiarity with regulatory filing systems and surplus lines tax reporting processes.

Knowledge, Skills & Abilities

  • Deep understanding of E&S insurance marketplace operations.
  • Strong knowledge of wholesale brokerage workflows and carrier relationships.
  • Ability to interpret complex regulatory requirements and translate them into practical business solutions.
  • Proven ability to influence stakeholders and drive compliance initiatives across departments.
  • Exceptional attention to detail and problem-solving capabilities.
  • Strong verbal and written communication skills.
  • Proficiency with agency management systems, licensing platforms, and Microsoft Office applications with an advanced knowledge of excel.

The base salary offered for the successful candidate will be based on compensable factors such as job-relevant education, job-relevant experience, training, licensure, demonstrated competencies, geographic location, and other factors. Discretionary incentive compensation may be awarded. Jencap also offers a range of benefits and programs, based on eligibility, which currently include but are not limited to; comprehensive health care coverage, a 401k plan, and tuition reimbursement.  Jencap is an emerging and rapidly growing leader in the industry and as such, we approach talent acquisition as an opportunity to identify the best talent. Therefore, the level of the role and compensation may vary depending upon the best available candidate. 

Want the opportunity to build something new? Expand your knowledge and stretch your experience through new and emerging risks? Have your voice heard, your skills properly applied, and to add tangible value to an organization? You’re in the right place. 

Jencap is dynamic, bold, tenacious, and trusted in the industry. Here, you are not just one of the many, you are one of us.  We truly are better together. 


Jencap is an Equal Opportunity Employer, and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, age, national origin or citizenship status, sexual orientation, gender identity or expression, pregnancy, marital or familial status, disability status, medical condition, genetic information, military or veteran status, political affiliation, or any other characteristic protected by law. We are committed to fostering a work community where every colleague feels welcomed, valued, respected and heard, as we believe that that creating an environment where every employee feels included and empowered, helps us to deliver the best outcome to our clients. 

Skills Required

  • Bachelor's degree in Business, Risk Management, Insurance, Finance, Legal Studies, or a related field
  • 5+ years of insurance compliance, regulatory, legal, licensing, underwriting operations, or brokerage experience
  • Direct experience with wholesale insurance brokerage and Excess & Surplus insurance markets
  • Strong knowledge of state insurance regulations and surplus lines compliance requirements
  • Understanding of producer licensing, market conduct, and regulatory reporting requirements
  • Excellent analytical, organizational, and communication skills
  • Ability to manage multiple priorities in a fast-paced environment
  • Experience working with multi-state insurance operations
  • Familiarity with regulatory filing systems and surplus lines tax reporting processes
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The Company
HQ: New York, New York
373 Employees
Year Founded: 2016

What We Do

Jencap comprises ten industry-leading insurance brands that provide unique specialization, unparalleled market access, and nationwide influence. Encompassing expertise from every corner of the industry, Jencap is the ultimate, award-winning insurance family.

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