Compliance Adviser - Insurance
I’m working with one of the world’s largest insurance brokers which offer a full range of services across commercial insurance & risk management as well as benefits & HR consulting. They have offices in multiple territories and have won several awards including best employer, most ethical company and future leaders programme over the last few years.
The role of compliance advisor will sit within the London speciality division and report into the compliance director. The speciality team provides services for the broad spectrum of risk including marine and aviation, financial risk, political risk and terrorism and kidnap (amongst several other lines). You will act as a regulatory business partner to this division and ensure compliance risk-management practices are in place and that the business is compliant with the relevant systems and controls.
The business needs a trusted advisor so commercial awareness is important. Your understanding around wider corporate responsibility and governance is obviously essential here as you will be expected to champion compliance practice as good business practice.
This is an exceptional opportunity to work with one of the world’s trusted brands in the industry. It will suit anybody who is interested in pursuing a step up in their career and wants more autonomy and oversight to influence regulatory best practice amongst senior management and the business. You will be trusted with a wide range of complex regulatory queries and advising the business on external compliance trends and influences. Confidence, gravitas and organisational ability are very important.
Key technical experience
- Previous compliance and conduct risk experience within the Insurance industry
- Excellent senior stakeholder management with demonstrable experience of troubleshooting complex issues
- Educated to degree level, or with equivalent experience
- Compliance professional qualification or aspiration to work towards