About the Company
A global insurance and reinsurance carrier operating as a specialty underwriter through the Lloyd’s market. The business focuses on high-risk, complex lines and functions as part of a larger listed financial services group.
About the Role
The Compliance function is responsible for overseeing regulatory compliance across the business and providing appropriate reporting to the Board. It also ensures that effective controls are established and maintained to mitigate financial crime risks and to meet relevant regulatory standards and expectations.
This is a fixed-term position providing additional support to the Compliance function. The role is that of a generalist Compliance Manager, with a strong focus on Corporate Governance.
Key Responsibilities