Group Compliance Manager - Aventum

Start date: After notice period DOE Flexible

Role Summary

As the Group Compliance Manager you will be responsible for supporting the Group Head of Compliance in ensuring that the Aventum Group and its global subsidiaries complies with all relevant regulatory and licensing requirements.

This a generalist role, largely focused on advisory work, where you will be responsible for the ongoing development, implementation and assessment of the Group’s global compliance programme and minimum standards framework.

This is an exciting opportunity to join a growing compliance team committed to the development of a pragmatic compliance infrastructure, balancing commerciality and creating a culture where compliance is embraced by the business.

Responsibilities

  • Production of the firm’s global compliance plan for approval by the Group Head of Compliance and submission to senior management

  • Coordinating and producing the firm’s Annual compliance review for approval by the Group Head of Compliance and submission to senior management

  • Monitor the regional compliance’s team completion of their annual compliance plans

  • Taking an active role in the creation and implementation of the firm’s minimum standards framework and monitor its adherence regionally

  • Have significant oversight of the firm’s international licensing requirements

  • Taking a key role in the incorporation and regulatory approval process of new global subsidiaries, as and when required

  • Provide clear, unambiguous advice and guidance to the business on how it can meet its international licensing requirements

  • Provide advice to the business on regulatory matters that may impact its reinsurance business

  • Keeping up-to-date with global regulatory developments

  • Supporting the Group Head of Compliance in advising senior management promptly about:

  • Regulatory issues that may impact the business

  • Any changes to Group’s regulatory or international licensing

  • Supporting the Group Head of Compliance in ensuring that the firm responds appropriately to requests for information from the FCA, or other applicable Regulators

  • Supporting the Group Head of Compliance in ensuring that the firm makes all appropriate notifications to the FCA, and other applicable Regulators and that such notifications are made in an accurate and timely manner

Skills & Experience

  • Be a subject matter expert on the UK’s regulatory regime, including the FCA, ICO and Lloyd’s requirements

  • Have held reinsurance based compliance roles

  • Have experience in developing Group compliance frameworks

  • Be experienced in dealing with international Regulators and international licensing requirements

  • Be comfortable taking a hand’s on role with projects and in the delivery of work

  • Be an excellent verbal and written communicator

  • Pride yourself on your ability to build strong and meaningful relationships with a business

  • Take ownership and personal responsibility for delivering outcomes

Apply now

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