
Senior Corporate Counsel, USRM Compliance Officer
About the role
Regulatory Engagement & Oversight Serve as Compliance Officer for USRM, overseeing compliance advisory support and ensuring a coordinated, aligned compliance posture. Own the regulatory engagement strategy--spanning market conduct examinations, data calls, and complaints--leading negotiations with state insurance departments and serving as the primary point of contact for state regulators. Run centralized regulatory engagements, including coordinated exam responses, remediation prioritization, and verified issue closure. Engage with state insurance departments, industry associations, and regulatory forums to influence policy development and negotiate practical resolutions on pending engagements. Develop and implement compliance programs and initiatives that address current and emerging regulatory risks specific to USRM. Collaborate with key stakeholders--including Business Unit leaders, Global Legal & Compliance (GL&C) and Global Compliance & Ethics Senior Leadership, Audit, Finance, and Risk teams--ensuring coordination across the lines of defense. Monitor the evolving U.S. personal lines regulatory landscape, synthesizing emerging risks, enforcement trends, and legislative developments into actionable intelligence for business partners and senior leaders. Create an outside-in regulatory feedback loop that preempts compliance issues, informs strategic planning, and drives negotiated resolutions before enforcement actions arise. Lead and oversee the USRM compliance team, driving a two-way, enterprise-aligned view of compliance across USRM and the global compliance function. Serve as the primary advisor and compliance partner to the USRM leadership team, providing guidance and recommendations to manage risks effectively while building trusted relationships that enable proactive compliance integration into business strategy and day-to-day operations. Influence senior leaders across USRM and GL&C to gain consensus and alignment on compliance priorities, risk posture, and regulatory response strategies, ensuring risk visibility and coordinated decision-making at the leadership level. J.D. required. 12-15 years of progressive compliance and/or legal experience, with deep expertise in U.S. personal lines insurance regulation. Comprehensive knowledge of U.S. state regulatory frameworks, market conduct examination processes, and data call management. Demonstrated success leading and developing compliance or legal teams--including managing managers--within a complex, matrixed organization. Proven track record of cultivating constructive relationships with state insurance regulators and negotiating practical, business-aligned resolutions. Exceptional leadership, communication, and interpersonal skills, with the ability to influence senior stakeholders, manage complex relationships across the organization, and deliver compelling executive-level presentations. Sound strategic judgment with the ability to assess complex regulatory matters, escalate appropriately, and provide decisive, risk-informed recommendations to senior leadership. Strong analytical and integrative thinking skills, with a demonstrated ability to synthesize regulatory intelligence into actionable business strategy.
Benefits and perks
•Learning Budget
Required skills
Compliance management
Regulatory affairs
Legal advisory
Risk management
Leadership
Negotiation
About Liberty Mutual
Boston
Headquarters