Compliance and Risk Manager

Expiring today

England, Bristol
£60000 per annum
27 Sep 2016
25 Oct 2016
Financial Services
Practice Area
Contract Type
Full Time

A highly respected international Insurance company who provide a range of insurance products is currently seeking a Compliance and Risk Manager to assist with the creation of strategy for the implementation of compliance, risk management, internal control and governance frameworks and systems and controls across the business.

Working directly with the Head of Legal and Compliance your role will be split approximately at 80% Compliance and 20% Risk and you shall work closely with a number of the business areas to identify, analyse, co-ordinate and implement any changes in response to any additional legal or regulatory compliance requirements. Other duties shall include updating and implementing the Compliance Monitoring Plan for the UK, daily monitoring of activity to identify possible compliance breaches, structure and perform compliance audits, producing regular progress reports and conduct investigations into alleged breaches of the Company's Anti Fraud and Corruption Policy. Additionally you will be responsible for several direct reports and shall be required to conduct regular 1:1's and formal performance appraisals.

To be considered for this opportunity you will have previous General Insurance experience within a Compliance and Risk role within and a diploma/advanced diploma in Internal Auditing (PIIA/CMIIA) would be an advantage. Candidates will additionally have solid understanding of the Regulators' Rules, Guidance and requirements and experience of Internal control, investigation or audit experience gained within the financial services.

This is a brilliant opportunity to work on a diverse and interesting role within an expanding business who offer the opportunity to develop your career in a progressive environment. The role will give you a level of Autonomy and you will be involved in a range of issues and projects Additionally the role offers a great salary and competitive benefits package which includes a 10% bonus

Please quote LBW1608-33 when calling Alexander Lloyd  and ask for our Compliance division. This is only one of many vacancies we are handling. Alexander Lloyd is a specialist within Financial Services recruitment. Areas of expertise include Compliance Directors, CF10/11, Risk Frameworks, Monitoring, Advisory, Policy, T&C, Quality Assurance/ File Review, AML/KYC etc across the entire financial services sector including investments, banking and insurance. We predominately focus on London, Surrey, Sussex and Kent, although we have also been highly successfully in offering national solutions. Due to the high amount of interest that we receive for each of our roles unfortunately we cannot respond to each application individually, therefore if you do not hear back from one of our consultants you have not been shortlisted for this role. 

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