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Head of Compliance

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Arthur Recruitment
Full Time position
Listed on 2026-09-16
Job specializations:
  • Finance & Banking
    Regulatory Compliance Specialist, Risk Manager/Analyst, Financial Compliance, Financial Crime
Salary/Wage Range or Industry Benchmark: 130000 - 140000 GBP Yearly GBP 130000.00 140000.00 YEAR
Job Description & How to Apply Below

Head of Compliance - 12-Month FTC

Salary: £130,000–£140,000

Location: London – hybrid working, approximately two days per week in the office

Contract: 12-month fixed-term contract

We are partnering with a specialist insurance and reinsurance business to appoint an experienced Head of Compliance for a 12-month fixed-term contract.

This is a senior and visible position with responsibility for leading the compliance function, advising the executive team and maintaining effective relationships with the FCA, PRA and Lloyd’s.

The successful candidate will take ownership of the organisation’s compliance strategy and act as SMF
16 – Compliance Oversight
and SMF
17 – Money Laundering Reporting Officer

, subject to regulatory approval.]

Key responsibilities
  • Own and develop the organisation’s compliance strategy.
  • Provide expert regulatory advice to the executive team, boards and wider business.
  • Maintain effective relationships with the FCA, PRA and Lloyd’s.
  • Coordinate regulatory visits and responses to information requests.
  • Prepare and submit senior management appointment applications.
  • Maintain robust Compliance Monitoring Plan and Compliance Risk Assessment frameworks.
  • Oversee the organisation’s financial crime and wider regulatory compliance obligations.
  • Arrange compliance audits and risk assessments, reporting findings to senior stakeholders and supporting any resulting improvements.
  • Produce regular compliance reports for boards and executive committees.
  • Maintain and update compliance policies, processes, training and regulatory records.
  • Manage the completion of relevant regulatory returns.
  • Coordinate the Lloyd’s Principles Attestation.
  • Support the onboarding of insurance entities across the UK and Europe.
  • Lead and manage the Compliance team.
  • Support strategic activity including acquisitions, restructuring and business change.
Skills and experience
  • Senior compliance experience within insurance or reinsurance.
  • Strong understanding of the Lloyd’s or wider London insurance market.
  • Previous SMF
    16 and/or SMF
    17 experience, or the experience and credibility required to secure regulatory approval.
  • Detailed knowledge of FCA, PRA and Lloyd’s regulatory requirements.
  • Experience managing regulatory relationships.
  • Strong financial crime and regulatory compliance knowledge.
  • Experience owning compliance monitoring and risk assessment frameworks.
  • Board, executive committee and senior stakeholder exposure.
  • Experience managing and developing a compliance team.
  • Exposure to acquisitions, entity onboarding, restructuring or other strategic change would be advantageous.
  • Strong communication, organisation and stakeholder-management skills.

This is an excellent opportunity to take ownership of a broad compliance function within a specialist insurance and reinsurance environment.

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