Compliance Officer – Insurance

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Job Description


To provide support to the Head of Compliance with respect to compliance with Group and regulatory requirements

  • To support the delivery of the annual Compliance Plan
  • To assist with the completion of compliance monitoring activities
  • To draft, review and update policies and procedures under the ownership of the Compliance Function
  • Drafting compliance reports
  • Acting as secretary to the Compliance Committee and representing the Compliance Function in the absence of the Head of Compliance at management Committee meetings, Territory Compliance Committee meetings
  • Assisting with responses to the regulator and on-site inspections
  • To perform ad-hoc tasks as allocated by the Head of Compliance
  • Work with the business to promote and maintain a robust compliance culture.

 Experience and skill requirements

  • Minimum of 2 years’ experience in a Compliance Function of a regulated entity, preferably an insurance company
  • Knowledge of regulatory requirements such as Solvency II, IDD, Fitness and Probity, Corporate Governance Requirements, Domestic Actuarial Regime
  • Excellent communications skills (written and oral)
  • Excellent organizational skills, analytical skills and attention to detail
  • The ability to work independently and on own initiative
  • Good people skills
  • Proficiency in Microsoft Office

 Educational qualifications required

A degree in a relevant discipline (law, business, finance etc.)

  • Diploma in Compliance from ACOI or working towards this qualification
Apply via LinkedIn

Ian Byrne

Consultant 01 9476341