The Head of Compliance will lead the development, implementation, and oversight of the regulatory compliance framework within a regulated insurance environment. The role is accountable for ensuring the business meets all regulatory obligations, maintains robust systems and controls, and embeds a strong culture of compliance across all functions. The ideal candidate will have experience working in a smaller organisation, combining both strategic leadership and hands-on operational delivery. We are particularly interested in individuals who are available at short notice. Key Responsibilities Develop and maintain the Regulatory Compliance Framework and Risk Universe Lead the Compliance Monitoring and Training Plans Provide regulatory advice across business functions and committees Manage regulatory updates and ensure appropriate business responses Oversee sanctions screening, complaints handling, and data protection compliance Coordinate SMCR implementation Support product governance and Lloyd’s oversight assessments Represent Compliance in internal committees and external regulatory engagements Requirements Around 6-10 years experience in insurance within the Lloyd’s market Proven track record in delivering compliance support in a regulated environment Relevant professional qualifications and strong academic background Excellent communication and interpersonal skills