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Compliance Assistant

Finitas

London

Hybrid

GBP 28,000 - 30,000

Full time

Yesterday
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Job summary

Join a forward-thinking boutique Lloyd's managing agency as a Compliance Assistant, where you will play a vital role in ensuring regulatory compliance across various sectors. This dynamic position offers unparalleled exposure to compliance functions, allowing you to engage with senior stakeholders and contribute to crucial compliance initiatives. You will be responsible for conducting compliance checks, managing broker financials, and delivering training on essential compliance topics. If you are detail-oriented, possess strong analytical skills, and have a passion for compliance within the financial services industry, this opportunity is not to be missed!

Qualifications

  • Degree educated in Law or Economics preferred.
  • Experience in compliance within financial services is a plus.

Responsibilities

  • Ensure regulatory compliance across various areas.
  • Conduct compliance checks and manage updates for broker files.
  • Deliver training on compliance topics to staff.

Skills

Regulatory Compliance
Attention to Detail
Analytical Skills
Organizational Skills
Communication Skills
Teamwork

Education

Degree in Law
Degree in Economics

Tools

MS Office

Job description

Compliance Assistant | Lloyd's Managing Agency | London/Hybrid | £28 - 30,000 (doe)

Finitas are exclusively partnered with a boutique Lloyd's managing agency in their search for a Compliance Assistant to join the team.

Reporting into the Compliance Director, you will be ensuring regulatory compliance across various areas. Your responsibilities will include but are not limited to:

  • Supporting the Product Oversight Group by preparing for meetings and contributing to the Principles & Documentation Forum.
  • Conducting compliance checks.
  • Managing updates and due diligence for broker TOBA and files.
  • Performing cover-holder due diligence for new applications and monitoring ongoing due diligence.
  • Handling broker financials and ensuring accurate reporting internally.
  • Delivering training to staff on topics such as Conduct, GDPR, Whistleblowing, and Lloyd's Principles and Documentation.
  • Assisting in the preparation and submission of FCA Returns.
  • Reviewing and updating the Compliance Director on new FCA guidance related to Consumer Duty.
  • Attending industry sessions to improve understanding, such as Financial Crime workshops.
  • Producing and reviewing financial crime management information.
  • Participating in relevant industry forums and meetings, such as LMA Conduct Risk Forum and Compliance Officers' Group.
  • Monitoring sanction screening of cover-holders/brokers and taking appropriate actions.

Experience required:

  • Degree educated - preferably within Law or Economic.
  • Work experience within the insurance industry is preferred.
  • Previous experience in a compliance-related role within the financial services industry.
  • Strong knowledge of regulatory requirements and guidelines (Lloyd's, FCA, PRA).
  • Excellent attention to detail and ability to analyse complex information.
  • Strong organisational and time management skills.
  • Effective communication and teamwork abilities.
  • Proficiency in MS Office applications.

Please note you will be required to work in their London office 4 days per week.

This is an all-encompassing role that will give you unparalleled exposure across all remits of compliance. You will be part of a very collaborative company and will have plenty of senior stakeholder engagement. Definitely not one to be missed! So, if you have the right experience, please apply now!

Please note that you must have the right to work in the UK - sponsorship is not provided.

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