Job Title: Compliance Advisor
Location: Flexible (hybrid working)
45 - 60k plus great benefits
Role overview
The role of the Compliance Advisor is to provide advice, support, oversight and challenge to regulated entities within Markerstudy Group to help ensure they comply with all relevant FCA requirements and expectations and identify, manage and mitigate any regulatory risks present within their business. Specifically, to assist the Group Head of Compliance in ensuring that all areas of the business are adhering to and maintaining regulations and standards laid down by the Financial Conduct Authority and other regulatory authorities as required.
Key Responsibilities:
To help ensure compliance with FCA and all other relevant regulation, guidance and expectationProvision of clear advice and guidance to business areas on a wide range of regulatory issues.Identify, highlight and where appropriate help manage and mitigate any regulatory or conduct risks present or arisingWork with management and staff to ensure that the business implements and maintains suitable systems and controls to meet regulatory requirementsAssist with the delivery of the Annual Compliance Plan.Attend, and provide challenge and input into key governance meetings as requiredMaintain an excellent knowledge of relevant rules and requirements, and how these apply to the Markerstudy GroupAdhere to and Role Model adherence to all Group processes with regard to FCA (and other regulators') compliance.Champion 'Consumer Duty' principles and expectations in all interactions with the business, ensuring that the customer is placed at the heart of all we doAssist with the completion of horizon scanning activity, considering the impact of regulatory developments on the Group and, as required, assist with Regulatory Change projects and activityAssist with investigations into complaints, incidents and rule breaches.Review and financial promotions, scripting and other customer facing documentation for compliance with all regulatory requirementsAssist with external assurance reviews as required.As required, to liaise with clients and affinity partners in relation to compliance mattersTo undertake other reasonable responsibilities and projects as instructed by the Head of Compliance.Essential Skills
Previous experience working in financial services industry, ideally in insurance and in a Compliance based role.Excellent knowledge of FCA and other Regulation relevant to a General Insurance Business.Ability to translate complex rules and requirements into clear, concise and pragmatic advice and guidance for business areasAbility to build and maintain excellent relationships with key stakeholders at varying levels of seniorityGood problem solving, analytical and communication skillsAbility to prioritise work according to Regulatory riskCommercial awareness and the good judgement to apply a pragmatic approach,Desirable Skills
Whilst general knowledge of FCA rules and requirements relevant to a GI business is essential, particular knowledge and experience in the application and management of compliance with PROD would be highly beneficialExperience working in the Pet Insurance, or Commercial insurance industry.Education to degree level or equivalent ICA Diploma or studying towards