The Role Reporting into senior leadership, the Compliance Manager will be responsible for designing, implementing, and managing the company’s risk and compliance framework across multiple jurisdictions. The successful candidate will ensure regulatory obligations are met, proactively identify and mitigate potential risks, and support the delivery of strong governance and control standards across the business. What you’ll do Develop, implement, and maintain the organisation’s risk, compliance, and governance framework across multiple jurisdictions, ensuring adherence to applicable regulatory requirements and group policies. Monitor regulatory developments, provide guidance on cross-border business activities, oversee policy governance and commercial agreements, and deliver clear and effective regulatory reporting. Manage and enhance the financial crime framework, including AML, CTF, sanctions, anti-bribery and corruption controls, client due diligence, KYC processes, screening activities, and suspicious activity escalations. Produce management information and reporting for senior stakeholders, covering regulatory matters, financial crime risks, risk assessments, controls, and key risk indicators. Own and maintain the enterprise risk management framework, including risk registers, risk appetite statements, control assessments, and business-wide risk reviews, ensuring material risks are identified, managed, and escalated appropriately. Support governance committees and senior management through the preparation of risk and compliance reporting, governance documentation, and ongoing oversight activities. Act as the subject matter expert for data protection and privacy matters, providing guidance on data management risks, incident response, and compliance with applicable data protection regulations. Deliver risk, compliance, financial crime, and data protection training, while promoting a strong culture of governance, accountability, and regulatory compliance across the business. Oversee outsourced service providers and third-party relationships, ensuring appropriate controls, monitoring, and compliance standards are maintained. Who we’re looking for Strong communication and stakeholder management skills, with the ability to build relationships across the business. Strong understanding of insurance compliance, financial crime, and data protection requirements. Minimum 6 years' risk and compliance experience within insurance Experience operating within multi-jurisdictional regulatory environments. Commercially minded, analytical, and detail-oriented, with the ability to work both strategically and hands-on. Relevant professional qualifications such as ICA, ACAMS, IRM, CII, or equivalent are desirable.