Overview
New Head of Compliance opportunity working with a top performing Lloyd’s Syndicate. Reporting to the Compliance Director, you will own responsibility for the ongoing development and implementation of the oversight and day-to-day operation of the Regulatory Compliance Framework.
Responsibilities
* Maintain the Regulatory Risk Universe and ensure effective controls are in place.
* Develop and maintain policies and procedures to support regulatory compliance.
* Lead compliance assessments for new business initiatives.
* Deliver annual Compliance Monitoring and Training Plans.
* Provide regulatory advice across the business, including underwriting, claims, sanctions, and licensing.
* Communicate regulatory updates and ensure appropriate business responses.
* Act as key contact with Lloyd’s, regulators, market associations, and the corporate parent.
* Oversee sanctions screening and complaints handling.
* Act as business lead for data protection compliance.
* Manage the Senior Managers & Certification Regime (SMCR), including responsibilities mapping, Fit & Proper assessments, job descriptions, and training in coordination with HR and Corporate Governance.
* Advise on product governance and maintain a framework aligned with regulatory expectations.
* Support Lloyd’s Oversight self-assessments and track follow-up actions.
* Escalate compliance matters to senior management and relevant committees.
* Represent the Compliance function in committees and business projects.
* Provide ad-hoc compliance support as needed.
Key Skills and Experience
* Minimum 8 years insurance experience, preferably within the Lloyd’s environment.
* Relevant professional qualifications and strong academic record.
* Proven experience and track record of delivering Compliance support within the insurance industry.
Seniority level
* Director
Employment type
* Full-time
Job function
* Finance, Legal, and Other
Industries
* Insurance
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