Senior Compliance Analyst (Conduct) opportunity working with a top performing specialty insurance and reinsurance company operating within the Lloyd’s market. Reporting to the Senior Compliance Manager, you will provide support to the Legal, Regulatory & Compliance, Underwriting, Claims, and Delegated Authority teams.
Key Responsibilities:
* Monitor regulatory developments from Lloyd’s and the FCA
* Maintain and enhance the Conduct Risk Framework and related reporting
* Manage the Lloyd’s Insurance Company Secondee processes
* Support the Lloyd’s Principles self-assessment and submission
* Assist in executing the compliance testing plan
* Advise internal teams on Lloyd’s requirements
Key Skills and Experience:
* Strong knowledge of Lloyd’s regulations, particularly Conduct Risk and Delegated Authority
* Minimum 3 years’ compliance experience in the Lloyd’s market (Managing Agent, Coverholder, or Broker)
* Experience in compliance testing