Senior Compliance Analyst

Posted Yesterday
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London, Greater London, England
Senior level
Financial Services
The Role
The Senior Compliance Analyst is responsible for ensuring regulatory compliance by reviewing publications, conducting gap analyses, overseeing the SMCR framework, and providing guidance on compliance-related queries. This role also involves aligning firm policies with regulatory standards and promoting a culture of compliance throughout the organization.
Summary Generated by Built In

With a company culture rooted in collaboration, expertise and innovation, we aim to promote progress and inspire our clients, employees, investors and communities to achieve their greatest potential. Our work is the catalyst that helps others achieve their goals. In short, We Enable Possibility℠.

Role Summary and Purpose 
We are looking for a compliance professional to join the Arch UK Compliance team. You will be a key member of the Compliance Function, providing regulatory assistance, with the aim of ensuring that all activities undertaken by the business are conducted in a compliant manner.
This opportunity will involve working within a fast-paced, growing team and you will be part of a dynamic Compliance team supporting you in your career growth.

Key Tasks and Responsibilities
• Undertake regulatory horizon scanning and maintaining up to date knowledge of UK regulators, FCA, PRA, Lloyd’s, Lloyd’s Europe, and international regulators, where relevant. 
• Review new publications from regulators, including but not limited to Consultation Papers, Policy Statements, guidance, Dear CEO letters, and enforcement cases.
• Interpret, assess application, and prepare summaries for key stakeholders, including undertaking gap analysis when required.
• Review firm-wide policies and procedures against regulatory requirements and best practices, completing a gap analysis accordingly, making recommendations for change and monitoring for closure.
• Support the oversight of the firm’s SMCR framework including Management responsibility maps (MRMs), Statements of Responsibility (SORs), and handover certificates. 
• Provide regulatory guidance/advice where required.
• Support compliance and regulatory projects, including assisting with implementation of legislation/regulation, and enhancements to the Compliance framework, processes, and procedures.
• Participate and contribute to the delivery of the annual Compliance Plan. Taking a lead where necessary.
• Drive improvements in areas of responsibility and propose changes to improve compliance and business efficiency.
• Liaise with senior stakeholders on a variety of Compliance related queries, requests, or actions.
• Supporting the development of training materials and providing training where relevant. 
• Contribute to Compliance Board and Committee reporting.
• Promote a culture of compliance by raising awareness of compliance and regulatory matters and encourage adherence to applicable laws and regulations.


Role Requirements & Skills
Skills / Competencies

• Strong knowledge of FCA, PRA, and Lloyd’s regulations, guidelines, and industry standards.
• A proactive approach to staying updated on changes in regulations and industry trends.
• Ability to understand the detail of regulatory publications and their application.
• Ability to articulate complex regulatory themes or requirements concisely.
• Excellent written and verbal communication skills.
• Good interpersonal skills to collaborate with diverse teams and interact with regulatory authorities.
• Strong attention to detail and ability to work independently and in a team-oriented environment.
• Excellent organisational skills with the ability to prioritise workload and manage various tasks simultaneously.
• Adaptability to a dynamic and fast-paced insurance environment.
• Participate in all departmental activities (training, controls maintenance and reporting) as required.

Qualifications

Ideally degree educated or equivalence by experience. 

Experience

Minimum 5 years’ regulatory or Compliance experience within the UK insurance market.

Do you like solving complex business problems, working with talented colleagues and have an innovative mindset? Arch may be a great fit for you. If this job isn’t the right fit but you’re interested in working for Arch, create a job alert! Simply create an account and opt in to receive emails when we have job openings that meet your criteria. Join our talent community to share your preferences directly with Arch’s Talent Acquisition team.

The Company
HQ: White Plains, NY
285 Employees
On-site Workplace
Year Founded: 2001

What We Do

Arch Capital Group Ltd. (Arch Capital or ACGL), a Bermuda public limited liability company, writes insurance and reinsurance on a worldwide basis through operations in Bermuda, the United States, Canada, Europe and Australia, with a focus on specialty lines. Arch Capital Services LLC is owned by ACGL and provides corporate, legal and other support services to Arch Capital.

ACGL provides insurance, reinsurance and mortgage insurance on a worldwide basis through operations in Bermuda, the United States, Canada, Europe, Australia and Hong Kong.

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