Overview
As Compliance Manager, you will strengthen the compliance framework across the group’s regulated entities within a growing Lloyd’s broker. You’ll partner with senior leadership to ensure regulatory obligations are met in a pragmatic, commercially aware manner and help mature governance and risk processes. You will interact with the Group Board and influence cross‑functional teams to support growth and future SMF16 responsibilities. This is a visible, leadership‑oriented role with a clear path to senior compliance leadership.
Responsibilities
- Support and enhance the compliance framework across regulated entities
- Provide day‑to‑day compliance advice to senior management
- Assist with regulatory monitoring activities and governance/risk processes
- Prepare reporting and MI for senior stakeholders, including engagement with the Groups Board
- Manage relationships with external compliance partners and bring activities in‑house where appropriate
- Collaborate with subsidiaries’ senior teams to support growth and regulatory transformation
- Position the function for future SMF16 responsibilities
Key requirements
- Previous compliance experience, ideally within a Lloyd’s broker or London Market with experience in Lloyd’s regulations
- Strong understanding of FCA regulatory requirements and governance frameworks
- Confidence to engage with senior management and Board‑level stakeholders
- Experience supporting audits, compliance monitoring programmes, regulatory change initiatives and governance activities
- Proactive, commercially minded with strong relationship‑building and stakeholder influence skills
- Ambition to progress towards SMF16 position
- Relationship building
- Stakeholder engagement
- Proactive mindset
- Knowledge of Lloyd’s regulations
- Knowledge of FCA regulatory requirements and governance frameworks
- Experience with audits and regulatory monitoring
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