Compliance Manager

Taylor Root

Greater London

On-site

GBP 70,000 - 110,000

Full time

8 days ago
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Job summary

Taylor Root is supporting a premier insurance organisation in London seeking a Compliance Manager to lead the Risk & Compliance function. You will own key compliance activities, drive regulatory initiatives, and develop the firm's compliance framework while managing a small team of two analysts.

The role requires deep knowledge of FCA, PRA and Lloyd's requirements, plus a track record of implementing regulatory change and delivering timely regulatory reporting across the business.

Qualifications

  • Strong knowledge of FCA, PRA and Lloyd's regulatory requirements within the insurance market.
  • Proven experience interpreting, implementing and overseeing regulatory change initiatives.

Responsibilities

  • Leading and embedding the firm's Conduct Risk and Consumer Duty framework, ensuring regulatory expectations are met across the business
  • Mentoring and developing a team of two Compliance Analysts, overseeing workload allocation and professional development
  • Preparing and presenting compliance reports, MI and regulatory updates to senior management, Executive Committees and Boards
  • Providing expert advice to the business on FCA, PRA and Lloyd's regulatory requirements and associated compliance risks
  • Leading the assessment and implementation of regulatory change, working with key stakeholders across the organisation
  • Overseeing compliance monitoring activities across financial crime, licensing, underwriting controls and broader regulatory obligations
  • Managing FCA and Lloyd's regulatory reporting requirements, ensuring timely and accurate submissions
  • Reviewing, enhancing and maintaining compliance policies, procedures and controls, promoting a strong culture of compliance across the business

Skills

Leadership
Regulatory knowledge
FCA/PRA/Lloyd's
People management
Reporting/MI

Job description

I'm pleased to be supporting a well-established insurance organisation that is seeking a Compliance Manager to join its Risk & Compliance function in London. This is a leadership role within a high-performing team, offering the opportunity to take ownership of key compliance activities, drive regulatory initiatives, and contribute to the ongoing development of the firm's compliance framework. You will also be responsible for managing and developing a team of two compliance professionals.

Key responsibilities include:

  • Leading and embedding the firm's Conduct Risk and Consumer Duty framework, ensuring regulatory expectations are met across the business
  • Managing, mentoring and developing a team of two Compliance Analysts, overseeing workload allocation and supporting professional development
  • Preparing and presenting compliance reports, MI and regulatory updates to senior management, Executive Committees and Boards
  • Providing expert advice to the business on FCA, PRA and Lloyd's regulatory requirements and associated compliance risks
  • Leading the assessment and implementation of regulatory change, working closely with key stakeholders across the organisation
  • Overseeing compliance monitoring activities across financial crime, licensing, underwriting controls and broader regulatory obligations
  • Managing FCA and Lloyd's regulatory reporting requirements, ensuring timely and accurate submissions
  • Reviewing, enhancing and maintaining compliance policies, procedures and controls, promoting a strong culture of compliance across the business

The successful candidate must have:

  • Strong knowledge of FCA, PRA and Lloyd's regulatory requirements within the insurance market
  • Proven experience interpreting, implementing and overseeing regulatory change initiatives
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