Stephanie O'Neill Macro

Of Counsel
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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:

  • Represented insurers in all lines that conduct business on a nationwide basis:
    • Property & casualty
    • Life
    • Annuity
    • Accident
    • Health
  • Assisted insurance companies and producers with licensing and change of control matters
  • Assisted insurance companies in responding to insurance department investigations, single state and multi-state market conduct exams, and enforcement actions
  • Represented managed care entities, such as Health Maintenance Organizations, Preferred Provider Organizations and Pharmacy Benefit Managers
  • Represented third party administrators, brokers and agents in addressing licensing and compliance issues
  • Represented both vehicle and home service contract providers in addressing licensing and compliance issues
  • Conducted internal corporate reviews of insurance companies to identify fraud and statutory insurance violations
  • Experienced with insurance insolvency and guaranty fund matters. She previously represented insurance receivers handling both rehabilitations and liquidations of insurers. In addition, she has assisted policyholders and creditors of troubled insurance companies with developing strategies to minimize the impact of an impending insolvency and related regulatory issues
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CREDENTIALS
Education
  • J.D., Loyola University Chicago School of Law
  • B.A., Boston University
Bar Admissions
  • Illinois
Professional History
    • Of Counsel, Locke Lord LLP
    • Director of Health Care Policy and Member Services at Illinois Association of HMOs