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EXCLUSIVE : COMPLIANCE MANAGER – RETAIL GENERAL INSURANCE COMPLIANCE EXPERIENCE REQUIRED

Compliance Recruitment Solutions (Dublin, Geneva, London & Madrid)

Greater London

Hybrid

GBP 60,000 - 70,000

Full time

Yesterday
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Job summary

A leading general insurance firm is seeking a Compliance Manager with at least three years of experience in general insurance compliance. The role involves advising the Board on compliance matters, developing an Annual Compliance Plan, and ensuring adherence to FCA regulations. You will be responsible for various compliance tasks, including audits and regulatory submissions. This position offers a hybrid working model based in either the City of London or Surrey, with flexibility to set your own schedule.

Benefits

Bonus
Generous holiday allowance

Qualifications

  • Minimum 3 years of experience in general insurance compliance.
  • Strong working knowledge of FCA regulations including SYSC, SMCR, and Consumer Duty principles.
  • Proven experience in managing compliance activity.

Responsibilities

  • Produce compliance packs for bi-monthly board meetings.
  • Attend bi-monthly SYSC meetings.
  • Submit FCA regulatory returns.
  • Handle complaints in conjunction with approved persons.

Skills

FCA regulations knowledge
Compliance monitoring
Reporting processes
Job description
Job Overview

EXCLUSIVE : COMPLIANCE MANAGER – RETAIL GENERAL INSURANCE COMPLIANCE EXPERIENCE REQUIRED

£60K - £70K + Bonus & Bens inc generous holiday HYBRID (City or Surrey )

Ref : 4166G

We are exclusively recruiting for a leading general insurance firm recruiting a Compliance Manager to advise the Board on Compliance matters, including changes to regulations, first line Compliance support, development of Annual Compliance Plan, and act as the DPO (all with support from external Compliance consultancy where required). Reporting to the MD (also the CF16 & 17), duties will include :

Responsibilities
  • Production of Compliance packs for bi-monthly board meetings
  • Attendance at bi-monthly SYSC meeting
  • Annual SMCR declarations
  • Allocation of file and call audits
  • Sample testing of file and call audits
  • Submission of FCA regulatory returns
  • IAR annual checks
  • Sanctions checking oversight
  • Approval of financial promotions
  • Complaints handling in conjunction with approved persons
  • Compliance inductions
  • SMCR updates due to staff changes
  • Notification to regulators such as FCA and ICO as required
  • Management of Insurer and MGA TOBAs
  • Overseeing new Insurer / MGA process
  • IAR approvals
Qualifications

You should have at least three years experience in general insurance compliance with a strong working knowledge of FCA regulations including SYSC, SMCR and Consumer Duty principles with proven experience in managing compliance activity including monitoring & reporting processes.

NB the role is 3d pw in the office either City of London or Surrey with visits to other office when required.

This a progressive company where you won’t be micromanaged but set your own schedule and plan your days in whichever offices to suit (subject to any preplanned meetings).

So, if that sounds like you, then please send your details to Gary Collins at gary@symescollins.com ( including contact no ) however please note we cannot reply to all applications so only successful applications will be contacted (although under no circumstances are your details ever passed on without your specific permission).

Compliance Recruitment Solutions Limited (CRS) are acting as an employment agency in relation to this role.

The recruiter has stated that all applicants for this job should be able to prove that they are legally entitled to work in the UK. Through application, all candidates signify their acceptance of the above information and confirm that the information they provide is true and accurate to the best of their knowledge.

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