Senior Compliance Officer, Investments Compliance
Position Summary
AIG’s Investments group manages the investment assets of AIG, including affiliated insurance companies, through internal and external managers. The Investments Compliance team supports the Investments group and oversees external managers. The ideal candidate will have extensive regulatory asset management experience with a focus on U.S. domiciled insurance companies and will work closely with the Chief Compliance Officer.
Position Requirements
- Minimum of 3 years of experience in guideline monitoring using BlackRock Aladdin, Charles River, Sentinel, Bloomberg AIM, or a similar system.
- Technical understanding of investment products and financial instruments, and the aggregation of exposures to perform compliance testing.
- Fixed income compliance experience is required, and exposure to private credit, mortgage loans, private equity, real estate and derivatives is a plus.
- Familiarity with NY, DE and PA U.S. State insurance investment regulation, along with NAIC Model Laws – Investments of Insurers Model Act; background understanding of the Investment Advisers Act of 1940 and the Investment Company Act of 1940 is a plus.
- Strong work ethic with great attention to detail and ability to communicate effectively.
- Bachelor’s degree required.
Pay
The base salary range for this position in New York, NY is $163,000-204,000, in New Jersey and Boston MA is $160,000-$200,000, and $159,000-$199,000 the position is eligible for a bonus in accordance with the terms of the applicable incentive plan.
Benefits
Your actual compensation will be dependent on your skills, experience, and qualifications. If your compensation expectations are above the posted range, we still encourage you to apply—your unique background matters to us. In addition, we’re proud to offer a range of competitive benefits, a summary of which can be viewed here: US Benefits Overview.