Senior Conduct Risk Analyst
Job in
City Of London, Central London, Greater London, England, UK
Listed on 2026-09-01
Listing for:
HFG Insurance Recruitment
Full Time
position Listed on 2026-09-01
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Regulatory Compliance Specialist
Job Description & How to Apply Below
This role is with a specialist insurance and reinsurance group operating within the Lloyd’s market.
- Property – direct & facultative, treaty reinsurance and transportation
- Casualty – including financial institutions, professional indemnity and North American specialty programmes
- Marine & Energy – including cargo/specie, fine art, marine liability and energy reinsurance
In this role you will be providing effective support to meet the overall objectives of the Group Legal and Compliance Function. You will get involved in a variety of tasks within, compliance and corporate governance activities for all group entities and will join a team of seven compliance professionals.
On a day-to-day basis, you will:
- Lead all activities in respect to Conduct Risk, including all matters relating to the Consumer Duty, including lead on the Consumer Duty Board Attestation Report, Product Governance, Product Value and Product Lifecycle reviews providing, advice, guidance and challenge to Underwriters on conduct risk related matters.
- Prepare all reports as necessary for presentation to the Executive Product Oversight Group (EPOG), Product Oversight Working Group (POWG), the Risk & Compliance Committee and Board.
- You will take the lead in the handling of UK and International policyholder complaints and client complaints in line with regulatory requirements.
- Prepare papers on compliance matters to support Board and Committee reporting across the Group.
- Support the completion of reporting.
- Responsible for the management and oversight of client complaints.
- Responsible for review and proactive oversight of all vulnerable customer notifications
3+ years relevant experience in insurance or financial services, in compliance functions.
Required Skills- A solid understanding of the regulatory environment in which the Lloyd’s market operates, specifically, PRA, FCA and Lloyd’s; including Lloyd’s Minimum Standards.
- Can confidently assess, interpret and apply regulatory change within a business environment and manage regulatory change projects.
Position Requirements
10+ Years
work experience
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