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CFC

Compliance Analyst

London
Posted about 18 hours ago
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Department: Governance

Location: UK - London

Description

Reporting to the Head of Compliance Monitoring and Operations, the Compliance Analyst plays an important role in supporting the compliance function in delivering the CFC compliance plan, including the operation of an effective compliance programme and all of the compliance systems and controls applicable to CFC Underwriting.

The role has a broad and varied mandate covering licencing, financial crime, conflicts of interest, complaints, data protection and regulatory compliance controls, alongside monitoring the effectiveness of those controls. The Compliance Analyst will also be supporting the compliance leadership team in providing input to strategic projects as required.

About the role

  • Act as a first point of contact for compliance queries, undertaking initial assessment and triage, providing risk-sensitive regulatory guidance where appropriate, and escalating complex or higher-risk matters to the relevant Compliance Manager.
  • Support the management of the financial crime framework, including conducting sanctions screening investigations using World-Check, escalating potential matches as appropriate and providing risk-based advice to business stakeholders.
  • Support the Compliance Team in delivering first-line compliance education and awareness initiatives, including the development and delivery of training, guidance materials and communications to promote a strong compliance culture across the business.
  • Where required support with the management of CFC's data protection framework, including coordinating Data Protection Impact Assessments (DPIAs), advising stakeholders on applicable regulatory requirements, identifying emerging risks, and supporting the implementation of appropriate controls, oversight and governance measures.
  • Maintain, review and enhance compliance policies, procedures, standards, guidance documents and supporting materials, ensuring they remain accurate, accessible, current and aligned to regulatory and business requirements.
  • Prepare compliance management information, reporting, governance updates and regulatory metrics for senior management, committees and other stakeholders.
  • Operate and maintain compliance frameworks, systems, controls, policies and procedures to ensure ongoing compliance with applicable regulatory requirements and internal standards.
  • Where required, assist with the handling of customer complaints in line with Lloyd’s requirements.
  • Support with the preparation of regulatory returns.
  • Assist with the coordination and management of internal audits, external audits, carrier reviews and regulatory information requests, ensuring timely and accurate responses.
  • Contribute to the Horizon Scanning activities and assist with regulatory change gap and impact analysis work to support the timely and effective implementation of new regulations.
  • Work collaboratively with colleagues across Compliance, Legal, Risk, Operations, Underwriting, Distribution and International Offices to support the effective management of regulatory and conduct risk.

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About you

  • Good understanding of Lloyd's market practices and UK regulatory requirements, with experience applying them within a regulated insurance environment.
  • Excellent understanding of UK regulatory frameworks, with the ability to quickly interpret and apply new regulatory requirements and developments.
  • Insurance market experience is essential, gained within a carrier, managing agent, broker or MGA environment.
  • Broad / generalist compliance experience across regulatory advisory, licensing and permissions, financial crime, sanctions and conduct risk.
  • Strong analytical, organisational and stakeholder management skills, with the ability to communicate compliance requirements effectively to a range of business audiences.
  • Experience conducting sanctions screening and investigations using World-Check (or similar screening tools) would be advantageous.
  • Experience working within delegated authority arrangements, including a sound understanding of delegated underwriting models, would be highly regarded.
  • CII Certificate in Insurance (or an equivalent professional qualification) desirable but not essential.

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Core Values

  • Love what you do: We show up each day ready to take on the world. Our passion and intensity set us apart and makes the difference to our colleagues, customers, brokers and carriers.
  • Challenge everything: We’re never afraid to question the way that things are done and we constantly challenge ourselves and others to makes things better.
  • Have fun, be good: Insurance is a serious business, but we don’t take ourselves too seriously. We make it fun to work at CFC, we welcome all viewpoints, and we treat everyone how we would expect to be treated.
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Skills

Regulatory Compliance
Financial Crime Framework
Sanctions Screening
World-Check
Data Protection
DPIA
Stakeholder Management
Horizon Scanning
Lloyd's Market Practices
Regulatory Reporting
Internal Audit Coordination
Compliance Monitoring

Location

London, England, United Kingdom

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