A mid-sized Lloyd’s insurance brokerage is currently seeking a Compliance Analyst to join their team.
The role will see you perform 4 main tasks:
- Providing support to the compliance team in adhering to UK and international regulation / law.
- Participating in monitoring reviews, providing assurance to senior management that systems and controls mitigate risk.
- Assisting in providing advisory support – mainly FCA / Lloyd’s regulation.
- Providing financial crime and sanctions advice.
The business is one that supports you. You’ll receive training (professional qualifications are paid for) and development on a regular basis and will work closely with a senior member of the team who will provide mentoring.
You’ll need circa 12 months+ experience from an insurance business (ideally Lloyd’s) and have a good understanding of compliance processes and controls.