compliance and regulatory obligations as required by Lloyd's, the Prudential Regulation Authority
(PRA) and Financial Conduct Authority (FCA).
The successful candidate will have the opportunity to support the compliance function and the Head of Regulation & Compliance on a wide variety of compliance and regulatory matters. They will be taking on a range of responsibilities from compliance advisory, compliance monitoring and
relevant deep dives to writing up reports and making recommendations for policy and procedural updates in line with Lloyd's, the FCA and PRA regulations.
The successful candidate will be a proactive individual, who is comfortable communicating with a range of stakeholders and advising the business on a wide range of regulatory projects and matters such as, GDPR and Data Protection, Conduct Risk, Brexit, IDD and SM&CR ongoing requirements.
A minimum of 5 years' experience at an insurance firm, in a compliance role is required and experience working within the Lloyd's market is preferred.
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