Job Details

Compliance Governance Manager

Compliance Governance Manager

📍 London
Not Specified
Industry: Accounting/Financial/Insurance
Applications: <10
Posted: 22-09-2026
Company: Massenhove Recruitment Limited
Type: Permanent
Reference: 225635288

Job Description:

Compliance Manager – Governance & Operations

My client is seeking an experienced Compliance Manager – Governance & Operations to join its Group Compliance function.

This is a broad, group-level governance and compliance role within a growing and acquisitive UK insurance business. You will play a key role in supporting the development and oversight of the Group's compliance framework, working closely with senior stakeholders across the organisation.

This is not a traditional compliance monitoring role. It is an opportunity for a governance-focused compliance professional to become a trusted adviser to the business, supporting regulatory change, SMCR, FCA engagement, operational resilience, regulatory reporting and strategic business initiatives.

The Role

As Compliance Manager – Governance & Operations, you will help ensure that regulatory obligations are effectively embedded across the Group while supporting the business to navigate regulatory change and continued growth.

Working closely with the Group Compliance Director and senior stakeholders, your responsibilities will include:

About You

We are looking for an experienced insurance compliance professional who combines strong FCA regulatory knowledge with excellent governance and stakeholder management skills.

You may currently be working as a:

Compliance Manager

Governance Manager

Senior Compliance Analyst

Compliance Business Partner

Regulatory Affairs Manager

Risk & Compliance Manager

Your background is likely to be within insurance broking, insurance intermediaries, an MGA, Lloyd's/London Market or another FCA-regulated financial services environment.

Essential experience

Strong knowledge of FCA regulatory requirements and compliance best practice.

Previous experience working within an insurance compliance function.

Strong understanding of SMCR and regulatory governance frameworks.

Experience across compliance operations, regulatory reporting, governance or regulatory change.

Ability to interpret complex regulation and translate it into clear, practical business guidance.

Strong stakeholder management and communication skills, including the confidence to work with senior leaders.

Excellent organisational and analytical skills, with the ability to manage multiple priorities.

Sound judgement and the ability to identify regulatory risks and determine when escalation is required.

Desirable experience

CII, ICA or equivalent professional qualification.

Knowledge of Lloyd's and London Market regulatory requirements.

Experience supporting FCA interactions and regulatory submissions.

Experience with Operational Resilience, Wind-Down Planning or Third-Party Risk Management.

Experience supporting M&A, acquisitions and business integration.

Experience leading projects or cross-functional regulatory workstreams.

What Will Make You Successful?

You'll be someone who understands that effective compliance is about more than simply meeting regulatory requirements.

You will be comfortable operating at both a strategic and operational level, bringing structure and clarity to complex governance issues while providing practical solutions that work for the business.

You'll build credibility through your regulatory expertise, professionalism and ability to develop strong relationships with stakeholders across the organisation.

You'll also be:

Why Join?

This is an excellent opportunity to join a growing UK insurance group where compliance has real visibility and influence across the organisation.

You'll have:

If you're an experienced insurance compliance professional looking for a role that offers breadth, visibility and the opportunity to influence how a growing insurance group manages governance and regulatory risk, we'd be keen to hear from you.

Apply Now