Working for the Compliance Director of this specialist Insurance business in the Lloyd’s Market, you will perform a senior role in the Compliance team, taking the lead on Financial Crime, acting as the main point of contact for the regulators, be the Money Laundering Reporting Officer (SMF17) and Data Protection Officer, and contribute to all aspects of the management of the Governance, Risk & Compliance team.
Current experience working in Compliance within a UK based Financial Services firm is required, strong track record on Financial Crime and Anti Money Laundering, and interacting with the Regulators.