New Challenge Great Team
The role sits within the UK&I risk and compliance team.
This divisional team supports the UK&I division of Davies Group and forms part of the wider Group Governance, Risk & Compliance function.
The team’s focus is to enable robust risk management and regulatory compliance – providing expert advice, guidance and oversight to support the business to ensure all legislative, regulatory and risk management policy requirements are met. Specifically this role supports the Claims Solutions business sunits of Davies UK&I, reporting to the Head of Risk and Compliance (Claims Solutions) who is the primary risk and regulatory lead for Claims Solutions.
The Compliance Officer will be responsible for providing effective risk and regulatory support to the Davies UK & Ireland business, providing risk and regulatory advice, analysis and monitoring of the Claims business units.
Reporting directly to the Head of Risk and Compliance (Claims Solutions) – Davies UK & Ireland, the Compliance Officer will be a proactive and engaging subject matter expert, playing their part in the risk and compliance team to ensure all legislative, regulatory and best practice requirements are met and ensure the Risk & Compliance Team work effectively to achieve the team objectives in support of the wider divisional and Group objectives.
The role will support the leadership team on FCA and SRA regulatory liaison, will partner with the business to ensure risk and regulatory requirements are understood and effectively mitigated.
The role will drive continuous improvement across the Davies UK&I risk and regulatory landscape, advising on opportunities for improvement and designing robust and proportionate controls.
The role will be a visible and approachable ‘critical friend’ to the Davies UK&I Claims Solutions business units, challenging decisions and providing insight to ensure sustainable and positive business, customer and client outcomes.
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The Compliance Officer will have experience of working in risk management, regulatory roles in a legal services firm, insurance firm (or Third Party Administrator), or other financial services firm and shall have the following experience & competencies:
Knowledge and understanding of either the FCA or SRA Regulatory regime together with associated regulatory / legislative requirements in relation to AML, Bribery & Corruption, Financial Crime, Modern Slavery, Tax Avoidance and other related legislation
Knowledge & understanding of Risk & Compliance policies & procedures
Knowledge & understanding of Lexcel & ISO 9001
Knowledge & understanding of managing commercial insurances, engagement with insurance brokers and the administration of insurance claims
Communication skills (verbal and written) with a proven ability to communicate in clear & concise terms
Strong planning and organisation skills, with the ability to react to business needs and risks
Keyboard skills & use of appropriate IT packages–Word / Excel / PowerPoint to present risk and regulatory matters, numerical data and qualitative assessments
Teamwork – the ability to engage with the Operational Leads and to work together effectively in order to produce the necessary technical outputs
The ability to work in a secure, sensitive & confidential environment.
Not sure you meet all qualifications? Let us decide! Research shows that women and members of other under-represented groups tend to not apply to jobs when they think they may not meet every qualification, when in fact, they often do! We are committed to creating a diverse and inclusive environment and strongly encourage you to apply.
Davies are committed to being a diverse and inclusive workplace. We welcome candidates of all genders, gender identity and expression, neurodiversity, sexual orientation, disability, physical appearance, body size, race, age, nationality, and belief (or lack thereof).
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