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Head of Compliance

Job in Birmingham, West Midlands, B1, England, UK
Listing for: NFP Corp
Full Time position
Listed on 2026-02-08
Job specializations:
  • Business
    Regulatory Compliance Specialist, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 150000 - 200000 GBP Yearly GBP 150000.00 200000.00 YEAR
Job Description & How to Apply Below

We’re hiring for a Head of Compliance to support our growing compliance team!

To keep up with our growth in the UK and Ireland, we’re looking for a dedicated Head of Compliance to lead and manage NFP Europe’s group compliance function in the UK & the Republic of Ireland. Putting people first is at the heart of everything we do, and that extends to our clients as well as our employees. As our Head of Compliance, you’ll be right at the forefront of helping us deliver this mission by supporting the General Counsel with overseeing NFP Europe’s compliance with applicable laws and regulations, including those set by the FCA & the CBI, and other applicable bodies.

This will result in ensuring that NFP Europe operates within legal boundaries and adheres legal and ethical standards and best practices in compliance management. This role is subject to the FCA’s SM&CR conduct rule requirements & CBI’s Common Conduct Standards.

We’re looking for someone with:

  • Excellent communication (verbal and written) and to be an effective ‘regulatory translator’ i.e. take complex regulation and make it accessible, understandable and relevant to the business
  • Excellent problem solving skills and to be solution orientated
  • Strong organisational skills and attention to detail but have the ability to take a high level view
  • Excellent stakeholder management skills and be able to build and maintain strong relationships with the business, while also maintaining an appropriate level of professional distance
  • A strong understanding of the UK’s and preferably the ROI’s regulatory regime as it applies to general insurance and/or wealth management activities
  • Experience gained within a compliance function or industry specific operations
  • ICA or CII qualifications (essential)

Using these skills, you’ll be:

  • Developing and owning the compliance strategy, ensuring alignment with business objectives and regulatory expectations
  • Providing strategic and robust regulatory & compliance advice to Senior Business Leaders
  • Assisting the General Counsel with influencing long-term business strategy to embed compliance by design across distribution, operations, product, and claims
  • Owning, maintaining, and continuously improving the Compliance Framework, including policy architecture, regulatory risk assessments, consumer & conduct risk frameworks, and product governance systems, conflicts of interest processes, and outsourcing oversight
  • Ensuring compliance is fully integrated within overall risk management, operational resilience, and corporate governance structures
  • Providing insight into NFP Europe’s compliance with regulatory requirement through the design and delivery of a risk-based compliance monitoring/assurance plan
  • Providing high-quality compliance MI, insights, and opinions to the General Counsel, the Boards and their Committees, Executive Leadership Team, and Business functions
  • Ensuring SM&CR and SEAR & IAF responsibilities are clearly mapped, documented, and effectively governed
  • Preparing and delivering compliance reporting and MI to Boards & their Committees, Executive Leadership Team, and Senior Business Leaders
  • Acting as NFP Europe’s senior point of contact for all FCA & CBI supervisory interactions, thematic reviews, deep dives, and formal requests
  • Overseeing all regulatory submissions, FCA & CBI notifications, Reg Data filings, and SMF/PCF applications
  • Ensuring robust decision-making and challenge in relation maintaining open and honest communication with the FCA & CBI, ensuring proactive self-reporting
  • Representing the firm in industry consultations and regulatory working groups (as appropriate)
  • Setting the strategic direction and methodology for the Compliance Monitoring Plan, ensuring it is risk-based, proportionate, and aligned to FCA & CBI expectations
  • Overseeing thematic reviews, conducting audits, distribution chain oversight, and file checking functions
  • Leading the firm’s Consumer Duty strategy, ensuring products deliver fair value and good customer outcomes
  • Overseeing and approving product governance processes, fair value assessments, distribution oversight, and outcome testing
  • Leading preparation and sign-off of the annual Consumer Duty Board Report
  • Ap…
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