Compliance Regulatory & Legislative Strategy Attorney
Built on meritocracy, our unique company culture rewards self-starters and those who are committed to doing what is best for our customers.
Brown & Brown is seekinga Compliance Regulatory & Legislative Strategy Attorney to join our growing team!
The Senior Director of Compliance & Regulatory Strategy serves as a premier strategic asset for the company and its public sector clients. This roleprovideshigh-level guidance on complex health & welfare and retirement plan compliance, as well as sophisticated HR issues, including leave management and employee relations. Acting as a bridge between dense regulatory requirements and practical application, the Senior Director ensures our clients navigate an increasingly litigious landscape with technical acumen and confidence. Beyond advisory and consultation, this role serves as a key "closer" in business development, elevating the company’s credibility in proposal responses to RFPs and finalist meetings as a dedicated subject matter specialist. Additionally, this role serves as a dedicated liaison and “bridge” between the Brown & Brown Legal Team and the Public Sector Practice Group, as necessary.
How You Will Contribute:
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Primary Compliance Advisor: Act as the lead legal and regulatory consultant for public-sector clientsregardingemployer-sponsored health and welfare plans (Medical, Dental, Vision, Life/AD&D, Disability, and Retiree coverage).
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Federal Mandate Interpretation: Effectively and practically apply federal mandates to governmental plans, including but not limited to ACA (4980H), HIPAA, COBRA, MHPAEA, No Surprises Act (NSA),RxDCreporting, and Transparency in Coverage (TiC).
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Public Sector Specialization: Advise onFlorida-specific requirements, including Chapter 112 provisions, Sunshine Law considerations for benefits records, and public board approval processes.
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Compliance Calendar Ownership: Manage the company’s group health plan compliance calendar, with detailed information for consultant teams to support clients with compliance-related deadlines, including, but not limited to, Gag Clause Prohibition Attestations,RxDCsubmissions, andTiCupdates in coordination with carriers and TPAs.
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ACA Strategy: Oversee 1094/1095-C reporting strategies, variable hour determinations, and measurement period policies tailored to governmental workforces.
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HIPAA & Privacy Leadership: Lead HIPAA Privacy/Security programs, including risk assessments, incident response coordination, and training for self-funded group health plan sponsors.
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Training & Development: Build and deliver specialized training for HR teams, boards, and unions on evolving compliance topics and developments.
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Toolkit Creation: Develop proprietary templates, checklists, model policies, and decision memos (e.g., HSA/HRA compliance or retiree coverage strategy).
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Market Intelligence: Monitorfederal and state legislative, regulatory, and judicial developments to publish actionable client alerts with practical implementation timelines.
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Contractual Advocacy: Review, mark-up, negotiate, andfinalizethe following contracts and agreements, in collaboration with the Brown & Brown Legal team asappropriate:
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Legal risk and commercial provisions within client services agreements,
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HIPAA Business Associate Agreements (BAAs),
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Third-Party Administration (TPA) and Administrative Services Only (ASO) contracts,
- Vendor and consultant agreements, and
- Stop-loss carrier agreements/policies.
Skills & Experience to be Successful:
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Minimum of 10–15 years of experience in employee benefits compliance, ERISA (and non-ERISA governmental plan) law, or senior-level benefits consulting.
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Required:Bachelor’s Degree in Business Administration, Human Resources, Public Administration, ora relatedfield.
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Preferred : Juris Doctor (JD) or Master of Laws (LLM). While this may not be a practicing legal role, the ability to interpret statutes at a law-degree level is what provides the "