We are actively seeking a Compliance Officer for a leading broker who will support the Group Compliance Officer. The role will involve working closely with group units, developing a good working relationship with a wide range of business partners, ensuring high standards of FSA compliance are developed and helping develop group risk policies, as well as other responsibilities.
To be considered for this role you must possess previous experience of working within a regulated environment, whilst possessing a good understanding of regulatory codes of practice.
A strong general insurance background would be a distinct advantage, as well as possessing good communication skills, and insurance qualifications. This is an excellent role for those looking to work on their own initiative, whilst having strong support from senior management.