Compliance Manager

  Risk & Compliance

  London

  £95,000

Reference: HH/RF-12234

A specialist Insurance MGA is currently recruiting for an experienced Compliance Manager to join their growing team in London

Summary
To act as a deputy to the Head of Regulatory Affairs, supporting day-to-day compliance activities, managing the Compliance team, attending meetings, producing reports and deputising as required.

Key tasks 
  • Act as a deputy to the Head of Regulatory Affairs in the delivery of the  compliance plan, including associated monitoring and reporting. 
  • Manage more junior members of the Compliance team and any direct reports including with regard to Sanctions, TOBAs, Conduct Risk and Complaints.
  • Review and analyse regulatory changes, providing reports and updates to staff and clients as appropriate.
  • Review compliance policies annually and develop policies where necessary.
  • Lead regular compliance meetings with managed clients, providing appropriate advice as necessary.  
  • Lead the creation and delivery of both online and face-to-face compliance training to staff and clients.
  • Provide high quality sanctions advice to managed clients within established SLAs.
  • Assist in the on-boarding process for new clients and the migration process for exiting clients.
  • Review the assigned risk controls on a quarterly basis to ensure that any related issues are raised.
  • Lead the annual capacity and auctions process in line with the Lloyd’s capital timetable. 
Key technical skills, knowledge and professional qualifications
  • Strong technical knowledge of UK insurance regulation and experience working within a Lloyd’s managing agent.
  • Experience of applying regulatory knowledge within an insurance business.
  • Experience in handling Sanctions referrals. Complaints/Conduct Risk experience advantageous


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Lee Blackman

Lee Blackman

020 4537 4004