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Regulatory Affairs Manager

TN United Kingdom

London

On-site

GBP 60,000 - 100,000

Full time

Yesterday
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Job summary

An established industry player is seeking a Regulatory Affairs Manager to lead their regulatory strategy and manage relationships with key regulatory bodies. This pivotal role involves ensuring compliance with the Prudential Regulation Authority and overseeing the Group's regulatory engagement policy. The successful candidate will act as a technical expert, providing insights and fostering strong relationships while contributing to governance and risk management. If you are passionate about regulatory affairs and want to make a significant impact in a dynamic environment, this opportunity is for you.

Qualifications

  • Experience in managing regulatory relationships and compliance.
  • Strong analytical skills to interpret regulatory information.

Responsibilities

  • Manage the Regulatory Engagement Policy ensuring compliance and risk mitigation.
  • Prepare reports for the Board on regulatory relationships and actions.

Skills

Regulatory Engagement Management
Stakeholder Management
Risk Framework Compliance
Data Protection
Governance Reporting

Education

Bachelor's Degree in Finance or Law
Professional Certification in Regulatory Affairs

Job description

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The L&G Regulatory Affairs Manager will play a vital role in delivering the Group’s regulatory strategy with responsibility for proactively managing L&G’s relationship with the Prudential Regulation Authority (PRA) and Bank of England (BoE). This includes supporting SMFs in preparing for interviews and managing responses to key regulatory developments published by the PRA. The role holder will also manage and maintain the Group Regulatory Engagement Policy in line with L&G’s Risk Framework.

What you'll be doing:

  • Setting, maintaining, and managing the Regulatory Engagement Policy to ensure Divisional teams comply with requirements, breaches are escalated and reported, and overall delivery of fair customer outcomes and risk mitigation in line with our Conduct Risk appetite.
  • Maintaining positive and transparent regulatory relationships on behalf of the Group and its regulated entities with the PRA, including briefing SMFs before meetings, interviews, investigations, and responding to information requests within appropriate timeframes.
  • Coordinating group-wide consultation responses to the PRA and considering publications by other regulatory bodies (e.g., FCA, BMA).
  • Acting as the technical expert on PRA regulatory matters, responding to queries, and hosting awareness events like lunch and learns to upskill Risk team members.
  • Reviewing, analyzing, and interpreting management information across L&G, contributing to thought leadership, governance reports, and oversight areas.
  • Ensuring the integrity of records within the Regulatory Affairs team, including regulatory interactions, and providing assurance on data protection, retention, and deletion requirements.
  • Preparing regular reports for the Board and Executive committees on the PRA relationship and progress on PSM actions, including SMF responsibilities.
  • Leading the Regulatory Affairs (PRA) team management, ensuring consistent use of management discretion and adherence to Group policies and procedures, including the Partnership Agreement, to maximize performance.
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