Compliance Analyst – Conduct Risk & Product Governance About the Role: My client is looking for an experienced Compliance Analyst to join a well-established and dynamic Compliance team at a leading Lloyd's Insurer. Reporting directly to the Compliance Manager, this is an excellent opportunity for someone looking to take their career to the next level within a small, collaborative team. As a Compliance Analyst, you will play a pivotal role in ensuring the business is adhering to regulatory requirements, with a specific focus on Conduct Risk. Your knowledge in these areas will be crucial in supporting the business with meeting its regulatory obligations, while helping to ensure the company maintains a strong compliance culture. This role is ideal for someone seeking a progressive opportunity and offers exposure to a variety of compliance activities within the Lloyd's market. Key Responsibilities: Assist in the monitoring and implementation of Conduct Risk frameworks, ensuring compliance with Consumer Duty regulations and Product Governance standards. Provide compliance advice and support across a range of regulatory requirements, with a focus on maintaining good customer outcomes. Collaborate with the wider Compliance team and other business units to ensure all policies and procedures are up-to-date and compliant with current legislation. Monitor changes in regulations and support the business in adjusting to new compliance requirements. Help with regulatory reporting, audits, and liaise with internal and external stakeholders as needed. Essential Skills & Experience: Solid experience in Compliance, with a focus on Conduct Risk, Consumer Duty, and Product Governance. Experience within Insurance A proactive approach and a desire to take on new challenges.