The role reports to the Global Head of Compliance. Experience in the insurance sector is ESSENTIAL. Legal experience would be beneficial. In summary, the role is to work closely with the Global Head of Compliance & act as the primary contact with the global broking teams and the corporate functions, acting as a business advisor. In this role you will:
Work closely with the Broking Teams, Operations and other key stakeholders to advise upon Partner relationships
Assist in partner relationships, onboarding and maintenance.
Maintaining accurate and up-to-date records of partner relationships, including related correspondence, supporting documentation and onboarding due diligence.
Advising on and drafting of TOBAs, Non-Disclosure Agreements, Confidentiality Agreements, Transfer of Business Agreements and other related contractual or insurance documents.
Advising upon licensing requirements to ensure business is permitted to transact and/or place business in specific markets/jurisdictions. Ensuring compliance with all applicable regulatory regimes.
About You
Head of Compliance and Risk function experience required at a Lloyd's broker
Experience of preparing, reporting and presenting at formal Governance Boards required
Ability and willingness to multi-task effectively, efficiently and proactively to tight deadlines is a prerequisite for this role
Experience of overseas entity Compliance management desirable
If you have the relevant experience required for this position & wish to fast track your application. Please forward your CV & covering letter to kp@arthur.co.uk