Stephanie O'Neill Macro’s practice focuses on insurance regulatory and transactional matters. She has more than 20 years of experience with a wide range of issues, including insurance company mergers and acquisitions; formation and licensing of insurance entities; holding company system act matters, including change of control, affiliate transactions and enterprise risk reporting; Own Risk Self-Assessment (ORSA); and entry and withdrawal from markets. Stephanie assists clients with addressing day-to-day compliance issues on a nationwide basis in areas such as sales and distribution matters, including producer licensing issues; product development and implementation; use of predictive modeling and data analytics in underwriting and rating; privacy and information management; document retention issues; corporate governance; InsurTech compliance issues; and the Affordable Care Act.
Stephanie O'Neill Macro’s practice focuses on insurance regulatory and transactional matters. She has more than 20 years of experience with a wide range of issues, including insurance company mergers and acquisitions; formation and licensing of insurance entities; holding company system act matters, including change of control, affiliate transactions and enterprise risk reporting; Own Risk Self-Assessment (ORSA); and entry and withdrawal from markets. Stephanie assists clients with addressing day-to-day compliance issues on a nationwide basis in areas such as sales and distribution matters, including producer licensing issues; product development and implementation; use of predictive modeling and data analytics in underwriting and rating; privacy and information management; document retention issues; corporate governance; InsurTech compliance issues; and the Affordable Care Act.
Stephanie’s experience includes: