Compliance Manager

Weareedenbrook

Greater London

On-site

GBP 65,000 - 95,000

Full time

5 days ago
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Job summary

Weareedenbrook, a top-tier insurer in the Lloyd's market, is seeking a Compliance Manager to own a broad remit from Conduct Risk to advisory and monitoring. Reporting to Head of Compliance, you will shape governance across UK and international operations.

Key duties include leading the Conduct Risk framework, consumer duty, product governance, regulatory reporting to the PRA, FCA and Lloyd's, and sign-off on financial promotions. You will mentor the team and drive risk-aware decisions.

Qualifications

  • 5 years' compliance experience within the Lloyd's market.
  • Strong understanding of Consumer Duty and Product Governance.
  • Thorough understanding of PRA, FCA and Lloyd's requirements, including Lloyd's Principles.

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.

Skills

Lloyd's market experience
Compliance experience
Consumer Duty
Product Governance
Regulatory reporting

Job description

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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