Regulatory Compliance Specialist
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Senior Compliance Leader with over 20 years’ experience across financial services, including insurance and banking. Having led large teams and complex regulatory programmes, I am now seeking to apply my expertise in a more focused and hands on role, where I can add value through practical delivery, strong stakeholder engagement and mentoring.
Proven track record in designing compliance assurance frameworks, provision of advice and guidance, influencing Boards and ExCo, and delivering risk-based oversight in line with FCA and PRA expectations.
My career has spanned a number of large insurers and brokers, as well as time spent working as a regulatory consultant and at the FCA.