Risk & Compliance
London
£60,000
Reference: HH/RF-13746
Compliance Analyst – Regulatory Affairs
This role supports the Director of Regulatory Affairs in delivering effective compliance and risk management across a Lloyd’s and company market insurance business. It covers UK and international regulatory obligations, ensuring the business meets all Lloyd’s, FCA and PRA requirements.
The position is broad and hands-on, combining advisory, monitoring and governance work. You will provide day-to-day compliance support to the business, including sanctions, licensing and regulatory queries, maintain the compliance monitoring framework, and ensure all regulatory deadlines and obligations are met. You will also contribute to SMCR, Board and Committee reporting, delegated underwriting due diligence, overseas licensing, and horizon scanning for new regulatory developments.
This is a highly collaborative role, working closely with underwriters, international teams and senior management, while helping to embed strong compliance, governance and risk management disciplines across the business.
The ideal candidate will have 5+ years’ insurance compliance experience, ideally within the Lloyd’s and London Market, with a strong understanding of risk management, underwriting processes, governance and regulatory frameworks. You’ll need strong analytical, organisational and communication skills, confidence to challenge when needed, and experience across SMCR, sanctions and international regulatory issues.
In short, this is a broad, senior compliance role offering exposure across UK and international regulatory, governance and underwriting-related compliance within a complex insurance environment.