Group Compliance Manager - Lloyds of London Broker
Posted 57 minutes 36 seconds ago by Michael Page (UK)
Permanent
Full Time
Banking & Financial Services Jobs
England, United Kingdom
Job Description
- Opportunity to lead on Compliance responsibilities across the Group
- Helping senior management foster the Compliance culture
Our client are a Lloyds of London broker with offices in the city of London and Surrey.
Job DescriptionThe Group Compliance Manager - Lloyds of London Broker will be responsible for:
- Advising on Compliance matters including changes to regulations
- First line Compliance support
- Support the external Compliance consultancy where required
- Development of Annual Compliance Plan
- Annual SMCR declarations
- Notification to regulators such as FCA and ICO as required
- Management of Insurer and MGA TOBAs
- Overseeing new Insurer/MGA process
The Group Compliance Manager - Lloyds of London Broker should have:
- Financial services compliance experience in the insurance industry
- Strong working knowledge of FCA regulations, including SYSC, ICO guidelines SMCR and Treating Customers Fairly (TCF) principles
- Proven experience in managing compliance activity, including monitoring and reporting processes
- Experienced in SMCR, complaints handling, and liaising with regulatory bodies e.g. FCA, ICO
- Demonstrated ability to develop, implement and monitor compliance policies, procedures, and controls
- Experience in leading on compliance activity and providing guidance to business teams
- Demonstrable experience of strong analytical and problem-solving skills
- Competitive salary depending on experience.
- Pension scheme and health benefits.
- Permanent role with long-term career growth potential.
- Supportive and professional working environment.