Save Job Back to Search Job Description Summary Similar JobsOpportunity to lead on Compliance responsibilities across the GroupHelping senior management foster the Compliance cultureAbout Our ClientOur client are a Lloyds of London broker with offices in the city of London and SurreyJob DescriptionThe Group Compliance Manager - Lloyds of London Broker will be responsible for: Advising on Compliance matters including changes to regulations First line Compliance support Support the external Compliance consultancy where required Development of Annual Compliance PlanAnnual SMCR declarations Notification to regulators such as FCA and ICO as requiredManagement of Insurer and MGA TOBAsOverseeing new Insurer/MGA processThe Successful ApplicantThe Group Compliance Manager - Lloyds of London Broker should have:* Financial services compliance experience in the insurance industry* Strong working knowledge of FCA regulations, including SYSC, ICO guidelines SMCR and Treating Customers Fairly (TCF) principles * Proven experience in managing compliance activity, including monitoring and reporting processes* Experienced in SMCR, complaints handling, and liaising with regulatory bodies e.g. FCA, ICO* Demonstrated ability to develop, implement and monitor compliance policies, procedures, and controls* Experience in leading on compliance activity and providing guidance to business teams* Demonstrable experience of strong analytical and problem-solving skillsWhat's on OfferCompetitive salary depending on experience.Pension scheme and health benefits.Permanent role with long-term career growth potential.Supportive and professional working environment.ContactKaren O'NeillQuote job refJN-112025-6887513Phone number+44 207 645 1432Job summaryJob functionInsuranceSubsectorComplianceSectorInsuranceLocationCity of LondonContract typePermanentConsultant nameKaren O'NeillConsultant phone+44 207 645 1432Job referenceJN-112025-6887513