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HR & Secretarial
Experienced Compliance Officer sought for well known (Re)insurance Broker.
This Lloyds Broker certainly has employee well being at the forefront of what they do and will always positively develop their staff.
Reporting directly into the Global Compliance Director this is a senior role responsible for the day to day management of the Risk and Compliance functions where you will sit and partner each division and their brokers to an appropriate level of stakeholder management, reporting and ensuring best practices are shared amongst the business.
Daily, you will be tasked with:
Working with the business (both in the UK and internationally) to build and develop the compliance framework and to partner the business to identify, assess and govern compliance risk.
Providing guidance, support and advising managers on regulatory and compliance matters.
Monitoring and reporting, as the 2nd Line of defence against business policies, procedures and systems whilst ensuring controls are in place to ensure regulatory compliance.
You as the successful candidate will have:
Extensive experience as a senior Compliance professional
A proven track record of working within a PRA/FCA regulated environment as well as the Lloyds and London Insurance Market
Experience of working within an international company
Highly proactive in building rapport with internal and external stakeholders
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