ICHRA Compliance Analyst
Gravie
Hi, we’re Gravie. Our mission is to create health benefits that actually benefit small and midsize businesses and their employees. Our innovative benefit solutions and services are developed and delivered by a diverse group of unique people. We encourage you to be your authentic self - we like you that way.
A Little More About The role:
We are seeking a Compliance Analyst to provide day-to-day compliance support for Gravie’s Individual Coverage Health Reimbursement Account (ICHRA) line of business. This role will manage and oversee regulatory filings, facilitate response to regulatory complaints, execute regulatory change management process, provide general compliance support and expertise to operational areas, and perform risk-based oversight audits.
The ideal candidate brings expertise in health plan compliance.
You will:
● Regulatory Calendar Management & Oversight
● Drive the maintenance and oversight of the enterprise-wide regulatory calendar, ensuring timely identification and tracking of all required state and federal regulatory filings for Gravie and its clients.
● Lead the end-to-end preparation and submission of Corporate Compliance-owned regulatory reports..
● Establish and monitor internal controls to ensure the accuracy and completeness of all regulatory submissions.
● Regulatory Change Management
● Perform proactive daily monitoring and analysis of emerging state and federal healthcare legislation, sub-regulatory guidance (e.g., CMS FAQs, DOL Field Assistance Bulletins), and regulatory changes (e.g., ACA, HIPAA).
● Conduct thorough impact assessments of new regulations on the ICHRA line of business and disseminate clear, summarized, and actionable information to senior management and internal stakeholders.
● Facilitate the development of comprehensive response and implementation plans, and drive the oversight process through to successful completion and operational readiness.
● Operational Compliance and Advisory
● Serve as a primary compliance subject matter expert (SME), providing timely and accurate guidance to business partners across the organization on complex regulatory matters.
● Act as the Corporate Compliance representative in cross-functional working groups and product development initiatives, ensuring compliance is built into all new processes and offerings.
● Support the day-to-day production and regulatory review of ERISA and non-ERISA plan documents and member communications for adherence to federal and state requirements.
● Collaborate with the Corporate Compliance, Privacy, and Audit teams to develop, refine, and enforce policies, procedures, and internal controls to maintain audit readiness (e.g., SOC compliance, internal audits) and robust internal governance.
● Provide expertise and oversight for critical state-based compliance requirements, including advisor licensing and appointments, and TPA licensing/Secretary of State certifications.
● Risk-based Oversight and Auditi