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Compliance Manager

Bruin Financial London, Vereinigtes Königreich
Gepostet vor 21 Stunden Festanstellung £70,000 - £80,000/annum

Compliance Manager

Bruin Financial London, Vereinigtes Königreich
Compliance Manager

Compliance Manager



A leading insurer operating within the UK and international insurance market is seeking a Compliance Manager to support the ongoing development and oversight of its compliance framework. This role offers the opportunity to work closely with senior stakeholders, providing expert advice across a broad range of regulatory topics while helping to strengthen the organisation's compliance culture and governance environment.




Key Responsibilities



  • Support the leadership of the Compliance function in maintaining an effective Compliance Management System (CMS) that meets regulatory requirements and internal governance standards.

  • Assist in the development and enhancement of compliance policies, procedures, controls and monitoring activities.

  • Contribute to the delivery of the annual Compliance Plan and wider compliance objectives.

  • Act as a subject matter expert for key compliance topics, providing practical regulatory advice and guidance to business stakeholders.

  • Support the implementation of regulatory frameworks and identify opportunities to improve efficiency, automation and control effectiveness.

  • Develop and deliver compliance training across a range of regulatory and conduct risk topics.

  • Conduct compliance monitoring reviews and thematic assessments, reporting findings and recommending improvements where required.

  • Monitor and assess potential compliance breaches, escalating matters appropriately and supporting any regulatory notifications.

  • Analyse regulatory developments and assess their impact on the business, governance arrangements and compliance framework.

  • Support outsourcing and third-party risk assessments, ensuring arrangements align with regulatory expectations and internal standards.

  • Provide guidance on financial crime, sanctions and broader regulatory risk matters.

  • Collaborate with risk, legal and governance teams to support risk assessments, control reviews and compliance reporting.

  • Prepare reports and management information for senior management, committees and Board-level stakeholders.


Key Requirements



  • Several years' experience within a Compliance role in the insurance sector.

  • Strong knowledge of the UK regulatory environment, including FCA and PRA requirements.

  • Experience developing and overseeing Conduct Risk and Product Governance frameworks.

  • Good understanding of insurance regulatory compliance risks and governance expectations.

  • Knowledge of additional compliance disciplines such as SMCR, Financial Crime, Financial Sanctions or Prudential Regulation.

  • Experience conducting regulatory change assessments and implementing associated business requirements.

  • Strong analytical and problem-solving skills with a practical and commercially focused approach.

  • Proven ability to build relationships and influence stakeholders across multiple levels of an organisation.

  • Experience producing Board, Committee and senior management reporting, including management information, risk indicators and performance metrics.

  • Excellent communication, organisation and stakeholder management skills.

Job ID  46076
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