
Chief Compliance Officer
15h15 hours agoAIG
London, GB · Full-time · £180,000 – £250,000
About this role
Talbot Underwriting is seeking a Chief Compliance Officer to lead and shape the firm’s compliance function at a pivotal stage in its continued growth and strategic development. This high-profile leadership role sits on the Executive Committee of Talbot and influences business strategy, governance, and regulatory engagement.
The Chief Compliance Officer oversees the design, implementation, and enhancement of the compliance framework, ensuring regulatory obligations are met while enabling commercial ambition. The role requires forward-thinking leadership with deep regulatory expertise and strong market credibility across internal and external stakeholders.
You will hold SMF16 responsibilities and act as a trusted adviser to the Board and Executive leadership. Key duties include maintaining open relationships with Lloyd’s, the PRA, and FCA while supporting the team on regulatory enquiries and visits.
This position offers the opportunity to shape organisational culture and compliance across subsidiaries, overseas offices, and managed syndicates. You will design control systems and training programmes that respond to changes in the business and regulatory environment.
Requirements
- Experienced compliance leader with significant knowledge of Lloyd’s compliance and regulatory issues
- Significant experience overseeing regulatory compliance frameworks within the Lloyd’s insurance market
- Demonstrated ability to influence and work effectively within a highly matrixed organisation
Responsibilities
- Ensure systems facilitate compliance with all Lloyd’s Acts, Byelaws and regulations across TUL, subsidiaries, overseas offices and syndicates
- Act as Money Laundering Reporting Officer to prevent money laundering, financial crime and sanctions breaches
- Implement and execute the Compliance Framework and Local Compliance plan across Talbot
- Ensure accurate and timely completion of all returns to Lloyd’s, the PRA/FCA and other regulators
- Monitor development and operation of management and control systems against regulatory expectations
- Maintain open relationships with Lloyd’s, PRA/FCA and other regulatory bodies
- Design compliance training programmes and monitor completion of mandatory training
- Manage regulatory visits, reviews and responses to consultative documents
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