Acting as part of a General Compliance team, the Senior Compliance Manager will provide a range of compliance support across international platforms to ensure their continued adherence to internal policies and procedures and external legal and regulatory requirements. The Senior Compliance Manager will be responsible for developing and implementing compliance-owned ‘Group’ policies and procedures.
Knowledge and Qualifications
Knowledge of Lloyd’s market
Knowledge of personal lines insurance
Strong understanding of Sanctions and its impact on insurance
Skills and Demonstrated Experience
6 years minimum experience of working in a Lloyd’s/non-Lloyd’s market as part of the Compliance function.
Ability to work effectively with team members across multiple jurisdictions.
Ability to show initiative and take responsibility of tasks/projects assigned.
Ability to understand and interpret regulatory requirements within a commercial environment and apply sound judgement.
Ability to produce good written reports and other compliance-related materials.