Financial Services Regulatory Lawyer, 4+

Location
London (Central), London (Greater)
Salary
Competitive
Posted
19 Jul 2017
Closes
16 Aug 2017
Ref
MD40066
Job Title
In House Counsel
PQE Level
5-7, 8-10
Contract Type
Permanent
Hours
Full Time

This global insurance company is looking for a Financial Services regulatory lawyer to join its legal and compliance team in London.

In this role you will advise on the management of compliance, governance and delegated underwriting processes and disciplines across the business, and ensure that the company's compliance  and governance  functions operate effectively.

You will assist with the interpretation and application of PRA, FCA, Lloyd's and applicable overseas regulation, the maintenance and review of compliance policies and procedures, the provision of advice on and/or monitoring of international sanctions, licensing, financial crime, anti-money laundering, anti-bribery, contract certainty and conduct risk and maintain awareness of and plans for the implementation of future regulatory requirements as highlighted by PRA / FCA Consultation Papers, Policy Statements etc.

To be considered for this role you will have trained and qualified at a top City law firm, have a minimum of 4 years' experience advising on regulatory projects ideally in the insurance sector. This role would also suit a Financial Services regulatory lawyer looking to carve a career in the compliance insurance sector.

Please note that if you do not receive a response to your application within 2 weeks, you should assume that your application has been unsuccessful.