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The Property and Casualty Compliance Officer is responsible for providing leadership and ensuring policy and procedural compliance. This position is governed by state and

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Special Job Requirements:


Typical Functions:

Examines the business practices of insurance companies, prepares administrative reports, takes appropriate regulatory action, and testifies in court. Provides direction and supervision to adjusters and other staff. Ensures adherence to all accounting practices and procedures and keeps abreast of changing legislation/regulations and its impact on accounting/reporting compliance. Works with management team to develop budget, analyze results, and identify trends, concerns, and areas for improvement to improve financial performance and results. Analyzes and monitors all expenses, allocations, and variances, and identifies opportunities for savings. Performs other duties as assigned.

Knowledge, Abilities, and Skills:

Knowledge of the utilization of automated financial systems. Knowledge of insurance investigation, underwriting, claims, etc. Ability to demonstrate strong organizational and project management skills. Ability to create, monitor, and follow up on execution plans. Skill in asset/liability management.

Minimum Qualifications:

The formal education equivalent of a bachelor’s degree in accounting, finance, or a related area; plus three years of experience with a regulatory agency, licensed insurer, or law enforcement agency. Additional requirements determined by the agency for recruiting purposes require review and approval by the Office of Personnel Management. OTHER JOB RELATED EDUCATION AND/OR EXPERIENCE MAY BE SUBSTITUTED FOR ALL OR PART OF THESE BASIC REQUIREMENTS, EXCEPT FOR CERTIFICATION OR LICENSURE REQUIREMENTS, UPON APPROVAL OF THE QUALIFICATIONS REVIEW COMMITTEE.

Required Certificates:



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