About Us

Corporate Governance

Based on Mutual Trust Life Insurance Company's fundamental corporate philosophy, the Internal Audit Department, which reports directly to the Audit Committee, along with our executive managers creates and periodically reviews corporate governance principles and practices.

Below are a few of the pertinent documents that are disseminated to all Home Office employees, field agents and all other parties that conduct business with Mutual Trust Life Insurance Company.

Code of Conduct & Ethics

Outlines the standards of business conduct and ethics that apply to all employees, officers and Board of Directors.

Anti-Fraud Handbook

Describes the policies and procedures Mutual Trust uses to prevent and detect fraudulent practices.

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Guide to Business Practices

Establishes our policies for ensuring the highest standards for policyowner protection and policyowner service from both our home office employees and professional insurance agents.

Privacy Statement

Discloses the policies for safeguarding personal information and other data collected during the course of normal business operations.

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AML Compliance Plan

Mutual Trust's policy to ensure awareness of and compliance with U.S. laws and regulations pertaining to economic sanctions, foreign asset control and money laundering abatement.

Mission Statement

Our mission is to underwrite and service profitable, quality life insurance and annuity products to meet the financial security needs of individuals and businesses.

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If you have not completed your training, you may still do so. Simply visit the LIMRA link below and follow the instructions on how to complete your training. The training takes approximately 45 minutes.

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