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The position focuses on delivering expert regulatory guidance, supporting the implementation of compliance frameworks, and embedding a strong culture of governance across the organisation. You will work with senior leadership and the wider compliance team to provide practical, commercially aware advice while ensuring robust regulatory oversight.
Job Responsibility:
Serve as the main point of contact for day-to-day compliance queries
Support implementation and ongoing maintenance of the compliance framework
Provide clear advice on meeting international licensing and regulatory requirements
Advise on compliance risks related to new business models, products, and processes
Ensure the business comply with internal policies and relevant regulatory requirements (including FCA and Lloyd’s rules)
Requirements:
At least 3 years experience working within a Insurance Broker
Strong knowledge of FCA and Lloyd’s regulatory frameworks
Excellent relationship-building abilities, with stakeholder liaison experience
Comfortable working in a fast-paced, diverse environment