Compliance Manager

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Hays
ScreenedJust posted
london
Posted 1 day ago
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About the role

Reference: Job ID: Posted: Closing date: Location: LondonSalary: 50-65k (per annum)Job type: PermanentWorking pattern: Full timeIndustry: Insurance / GovernanceCompany: HaysConsultant: Millie BatemanHays office: London-Central — 4th Floor, 107 Cheapside,Phone: Email: new companyA growing independent Lloyd’s broker is seeking to appoint a Compliance Manager to support its expanding regulatory framework across all their regulated entities. With ambitious growth plans and an increasing focus on the Lloyd's and London Market, the business is looking for a compliance professional who can develop alongside the organisation and play a key role in its future success.This is an excellent opportunity to join a business at an exciting stage of its journey, working closely with senior leadership and helping to shape the compliance function as it continues to mature. The position offers genuine long-term progression, including the potential to ultimately hold SMF16 responsibility.Your new roleAs Compliance Manager, you will be responsible for supporting and enhancing the compliance framework across the group's regulated entities, ensuring the business continues to meet its regulatory obligations in a pragmatic and commercially focused manner.Working closely with the senior management teams across all subsidiaries, you will provide day-to-day compliance advice and guidance, assist with regulatory monitoring activities and support the development of governance and risk management processes. You will also prepare reporting and management information for senior stakeholders, including regular engagement with the Groups Board.The business currently works with external compliance partners who provide support with audits and regulatory reviews. As the compliance function evolves, you will play a key role in managing these relationships and will have the opportunity to bring certain activities in-house where appropriate.This role offers significant exposure to senior decision-makers and would suit an individual looking to take the next step towards a broader leadership position within compliance.What you'll need to succeedTo succeed in this role, you will have:Previous compliance experience, ideally within a Lloyd's broker, or London Market organisation with experience working with Lloyd’s regulations.Strong understanding of FCA regulatory requirements and governance frameworksThe confidence to engage effectively with senior management and Board-level stakeholders.Experience supporting audits, compliance monitoring programmes, regulatory change initiatives and wider governance activities would be highly beneficial.A proactive and commercially minded approach, coupled with a strong ability to build relationships, influence stakeholders and contribute to the growth of a business.The ambition to progress towards a future SMF16 positionWhat you'll get in returnIn return, you will have the opportunity to join a growing and ambitious insurance group where your contribution will be highly visible and genuinely impactful. You will work closely with senior leadership and the Group Board, gaining exposure that is rarely available within a role at this level.The position offers a clear pathway for career development, including the potential to progress into a Group-level compliance leadership role and assume greater regulatory responsibility as the business continues to grow.What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV. #LI-DNI # - Millie Bateman

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