SummaryCompliance/Risk Manager - Full or Part Time available
- Salary & Hours & WFH flexibility are all negotiable
Our client is an independent Lloyds broker/COVERHOLDER @ Lloyds which is expanding. They work with client partners across the globe to arrange bespoke risk solutions for Marine & Non-Marine requirements with underwriters at Lloyds, the Company market, MGA's and overseas insurers.
In this role you will work closely with and support the Managing Director/Operations Director with all aspects of Lloyds and FCA regulatory matters.
This will include implementation/development of the compliance framework, overseeing implementation of processes and procedures, providing support and advice to brokers, regulatory reporting, undertaking reviews, sanctions checking and due diligence monitoring in addition to researching overseas compliance for Overseas Branch (Spain)
This is a diverse role in a very dynamic and evolving business environment. It would suit someone with a wealth of relevant experience who is seeking a PART TIME position or someone with 3 to 5 years London Market compliance experience who is looking to develop their career on a FULL TIME basis.
Our client is flexible and is open to considering the requirements of candidates on a case-by-case basis. The only stipulation is that candidates must have an understanding of and experience within a compliance role in the Syndicate / Company insurance market.