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About the role
A high-growth specialty insurance group is hiring a Head of Compliance to lead its UK function.
This newly created role reports to the CRO and sits on the UK Board and Executive Committee. The company operates within the Lloyd’s, London Market, and personal lines, using an MGA model, and is part of a globally respected, privately owned group.
You’ll lead a team across multiple UK offices, overseeing all aspects of compliance except data protection and financial crime. Key responsibilities include owning the Conduct Risk Framework, chairing the Conduct Risk Committee, horizon scanning, leading regulatory change projects, and advising across underwriting, operations, and central functions.
You’ll be the primary regulatory contact and help shape strategy during a major transformation phase.
Ideal candidates will have 8+ years of insurance compliance experience, preferably in retail and commercial lines, with strong FCA Handbook knowledge and a practical, commercial mindset. This is a rare opportunity to build a compliance function from the ground up in a business where compliance has real influence and support.
Additional details
* Seniority level: Mid-Senior level
* Employment type: Full-time
* Job function: Legal
* Industries: Insurance, Insurance Carriers, and Insurance Agencies and Brokerages
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