As Compliance Manager, you will play a critical role in delivering the Compliance Plan, with a particular focus on Data Protection and compliance across all business areas. You will advise internal stakeholders on data privacy requirements, and support key external stakeholders, including regulators such as the FCA and Lloyd’s.
Duties:
Overseeing compliance with Data Protection laws
Ensuring that all internal data protection policies are effectively implemented, regularly reviewed, and aligned with regulatory requirements.
Advising internal stakeholders on Data Protection risks, providing guidance on data security, breach management, and the lawful processing of personal data.
Collaborating closely with the broader Compliance team to ensure that Data Protection compliance is incorporated into the Compliance Monitoring Plan.
Effectively managing compliance systems and controls, with particular attention to Data Protection and privacy matters, financial crime, sanctions, and conduct risk controls.
Essential Experience:
You are an exceptional communicator, both written and spoken, and have the ability to engage effectively with a wide range of stakeholders, including at board level.
You possess in-depth knowledge and experience in Data Protection and Privacy Laws, within the regulated insurance sector.
You have familiarity with GDPR and the FCA’s data protection guidelines.
Ideally, this expertise has been developed through experience working at a Lloyd's managing agent, insurer, broker, or MGA.
Preferred Experience:
Expertise in Data Protection regulations and their application within a regulated environment.
Technical knowledge of the FCA Handbook, Lloyd’s Principles, and principles-based regulatory frameworks.
Proven experience managing Data Protection compliance programs and conducting risk assessments.
Experience in managing a compliance function, particularly relating to Data Protection and privacy compliance.