Our client is a major insurance group in Europe and are represented in more than 30 countries Worldwide. This business offers a wide range of insurance policies and services as an MGA business.
Person Responsibilities:
• Provide advice to the business on risk, compliance and other regulatory matters.
• Carry out horizon-scanning and keep the business abreast of regulatory and other risks and developments.
• Work with and advise internal business partners to design, implement and maintain appropriate procedures, systems, and controls.
• Review and update the compliance strategy, compliance policy and the compliance plan.
• Review and update the risk management framework, strategy and policy, risk appetite policy, risk category policy and conduct risk policy.
• Assist in the preparation of papers for the board and board sub-committees and regulatory reporting.
• Work with the Risk & Compliance Manager – Monitoring to provide a seamless service and consistent advice and guidance.
Experience required:
• Expert knowledge of the FCA Handbook, including all core sourcebooks (e.g. SYSC, GEN, APER, FIT, DISP and SUP) plus ICOBS, and to a lesser extent, COBS
• Expert knowledge of the risk universe.
• Excellent oral and written communication and presentation skills.
• Able to develop good working relations with key stakeholders.
• Able to remain focused under pressure.
• Degree level education.
• A minimum of 5 years’ risk and compliance experience.
• Ability to influence positive outcomes.