Compliance Manager - London, United Kingdom - Arthur
Description
Job Title:
Compliance Manager
Salary:
£70,000 - £80,000
Location:
City of London
As the Compliance Manager, you will utilise your senior compliance experience in insurance to manage the international broker function, ensuring:
- All brokers are approved in line with the Companies' Broker Vetting Procedures;
- The Broker Vetting Framework remains fit for purpose and is developed and adapted in response, as appropriate, to regulatory and internal changes;
- The broker function supports the business with excellent technical expertise and knowledge and performs to a high standard;
- The system used for broker oversight is reviewed and developed to enhance and streamline the existing broker review process; and
- The broker function meets the objectives defined within the Compliance Plan.
Job Responsibilities:
Management of Framework
- To review and develop the Broker Oversight Framework adopting a best practice, consistent and collaborative approach across the Companies.
- To ensure that those ToBAs issued to brokers for signoff are uptodate, taking into account all applicable regulatory and legislative requirements.
- To produce the broker section of the Third-Party training module and ensure the delivery of guidance and training to the business / internal stakeholders in the Companies, as required.
- To oversee and produce the broker sections of the annual Compliance Plan and ensure proposed projects / tasks are completed as scheduled.
- To manage the circulation of market updates and guidance, as necessary, to business units within the Companies on compliance with regulatory, general market and Lloyd's requirements relating to brokers.
- To oversee the management of brokers by the Companies' European entity, assisting with queries, as necessary.
- To manage the agreements with external service providers that support the broker review process, ensuring these contracts are managed on a regular basis and renewed as required.
Skills and Experience Specification:
Essential:
- 5 years' experience within a Compliance Department, with technical knowledge of the broker market.
- Previous managerial experience.
- Experience within the Insurance and Lloyd's Market.
- Computer literate with knowledge of Microsoft Office products, i.e. Word and Excel.
- Strong organisational and workload management skills.
- Strong analytical and written skills.
- Attention to detail; due diligence and investigative skills.
- Ability to communicate effectively with individuals at all levels of the business in a confident and professional manner.
- Hard working, diligent and a quick learner.
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