Senior Compliance Consultant

Details of the offer

Senior Compliance Consultant The VacancyThe Senior Compliance Consultant is responsible for the management and effective execution of regulatory business partnering to all business units.In addition, it holds responsibility for execution of regulatory horizon gazing, implementation of regulatory change, and management of interface with industry bodies.The role spans multiple legal and regulatory frameworks across various geographical boundaries.These include the countries where the segment entities are primarily regulated (UK, Luxembourg), the countries where the segment has establishment operations (including France, Italy, Belgium, Netherlands, Denmark, and Germany), where there are material run-off operations (including Switzerland and Singapore), and where the segment carries out business in third countries, particularly where there are local licensing, prudential, or sanctions regulations. Key Responsibilities Regulatory Business PartneringProvide effective regulatory business partnering, advice, and support to the business on upcoming legal and regulatory issues throughout the business and provide commercially compliant solutions.Partner with the Company's Underwriting functions, Distribution, and other key functions.Ensure that stakeholders are empowered to take responsibility for regulatory compliance through discussion and challenge.Act as a key point of contact and Subject Matter Expert for business leaders and provide advice and oversight on applicable law and regulation.Regulatory / ComplianceWork within the team to identify upcoming regulatory developments.Support the General Counsel as appropriate on various projects.Financial CrimeResponsible for monitoring sanction developments and financial crime legislation and assessing the impact on the business.Lead the annual Financial Crime Risk Assessment working with different business functions.Provide updates to the Financial Crime framework and policies and procedures as required. Skills, Knowledge & ExperiencePrevious experience working in a Compliance or legal function (7+ years of company market and/or Lloyd's experience) desirable.Knowledge of the UK regulatory framework including FCA/Lloyd's.Experience of Sanctions and Financial Crime.Maintains a current, in-depth knowledge of the competitive market landscape, trends, and industry developments, legal and regulatory requirements, and territorial issues, leveraging knowledge to identify strengths, weaknesses, opportunities, and threats.Strong stakeholder management, communication, and influencing skills at all organizational levels (internally and externally) and the ability to work collaboratively within the team and with other disciplines.
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Nominal Salary: To be agreed

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