Compliance Manager opportunity working with a top performing opportunity specialty insurer operating within the Lloyd’s market. Reporting into the Head of Compliance, you will take ownership on a broad range of duties, particularly areas surrounding Conduct Risk, Advisory and Monitoring.
Key Responsibilities:
- Lead the Conduct Risk framework, including Consumer Duty, Product Governance, vulnerable customers and product value/lifecycle reviews.
- Provide senior oversight of compliance reporting, governance papers, complaints, thematic reviews and remediation across UK and international operations.
- Review and challenge policies, procedures and controls, ensuring regulatory alignment and effective risk management.
- Lead compliance monitoring across contract certainty, licensing, financial crime/AML and Lloyd’s Insurance Company Europe.
- Own regulatory reporting to the PRA, FCA and Lloyd’s, alongside compliance reporting to the parent company.
- Assess regulatory developments and advise stakeholders on impact and implementation.
- Own Financial Promotion sign-off, providing senior advice and constructive challenge to the business.
- Act as a senior compliance adviser, supporting the Head of Compliance and providing guidance across the Group.
Key Skills and Experience:
- 5 years’ compliance experience within the Lloyd’s market.
- Must have a strong understanding of Consumer Duty and Product Governance.
- Thorough understanding of PRA, FCA and Lloyd’s requirements, including Lloyd’s Principles.
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