Insurance Compliance Partner

https://www.strideresource.com/job-search/4118-insurance-compliance-partner/broking/job2025-04-23 17:58:362025-05-20 Stride Resources
Job Type Permanent Full Time
Location Chiswick House
Area 173 Chiswick House
Sector General InsuranceGeneral Insurance - BrokingGeneral Insurance - Sales & DevelopmentGeneral Insurance - Operations and Compliance
Salary £85k - 100k per year
Currency gbp
Start Date ASAP
Advertiser Dan Falcini
Job Ref 44218
Job Views 70
Description

About the Opportunity:

We are partnering with a well-established Lloyd's market broker with an international presence and a strong reputation for technical excellence across complex risk placement. As part of continued strategic investment in governance and regulatory best practice, they are now seeking a senior-level Insurance Compliance Partner to lead and evolve their UK compliance framework.

This is a high-profile, influential role suited to a confident compliance professional with deep understanding of FCA regulations, Lloyd's standards, and a passion for embedding best-in-class compliance culture across all levels of a regulated insurance business.

 

Key Responsibilities:


  • Act as the primary point of contact for all compliance matters across the UK broking entity, reporting to the Group Compliance Director.
  • Provide strategic advice and guidance to the executive leadership team on regulatory requirements and industry developments.
  • Oversee and maintain the firm's compliance framework in line with FCA, PRA, and Lloyd's regulatory standards.
  • Lead the internal compliance monitoring programme, audits, and file reviews.
  • Drive improvements across areas such as financial crime prevention, sanctions screening, conduct risk, SMCR, and complaints handling.
  • Support business-wide training initiatives to embed a strong, risk-aware culture.
  • Liaise with regulators and industry bodies where required, ensuring proactive engagement and up-to-date knowledge of regulatory change.

 

Candidate Profile:


  • Extensive compliance experience within a Lloyd's broker or a London based UK-regulated general insurance intermediary.
  • In-depth understanding of FCA regulations, Lloyd's minimum standards, and the evolving UK insurance regulatory landscape.
  • Strong stakeholder management skills, with the ability to influence and advise at board level.
  • Comfortable working in a fast-paced, commercially focused environment.
  • Compliance qualifications or legal background advantageous but not essential.
  • A collaborative, proactive approach to compliance and governance.

 

What's on Offer:


  • Competitive base salary up to £100,000 (dependent on experience)
  • Discretionary bonus + benefits package
  • Hybrid working (2-3 days in the City office)
  • The opportunity to be a key voice in shaping compliance strategy at a respected Lloyd's broker
  • Strong career development pathways - including international and cross-functional leadership opportunities
  • Supportive, inclusive leadership with a real commitment to compliance excellence

 

Apply Now:

If you're an experienced compliance professional with a deep understanding of the Lloyd's and UK regulatory environment, and you're looking to step into a senior leadership role with genuine influence - we'd love to speak with you. Submit your CV or contact our team for a confidential conversation.

 

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