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Head of Risk and Compliance

The Portfolio Group Manchester
new


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    T

    Head of Risk and Compliance

    The Portfolio Group Manchester
    new
    Status Open
    Apply now

    Apply on the employer's website


    What we ask

    Education

    No minimum education required

    Job description

    As Head of Risk & Compliance, you will lead the enterprise risk management and compliance frameworks, ensuring the business operates within risk appetite and meets all PRA and FCA requirements. Operating as a true second-line function, you will balance regulatory rigour with commercial pragmatism and act as a trusted advisor to senior stakeholders.


    You will have responsibility across risk, compliance, governance and regulatory engagement, with a remit spanning underwriting, finance, claims, operations, IT, outsourcing and reinsurance.


    Enterprise Risk Management


    • Own and maintain the enterprise risk management framework and risk appetite, including KRIs and tolerances
    • Lead risk identification, assessment and reporting across the business
    • Produce clear, high-quality risk reporting for the Executive, Board and Committees, including emerging risks
    • Oversee the ORSA process, coordinating inputs and ensuring robust challenge and regulatory-compliant outputs
    • Provide independent challenge to underwriting strategy, new products, reinsurance and material change initiatives
    • Support stress and scenario testing and capital risk assessment alongside Finance and Actuarial teams


    Compliance & Regulatory Affairs


    • Design and oversee a proportionate compliance monitoring programme
    • Act as the primary point of contact for the PRA and FCA, including submissions, notifications and supervisory engagement
    • Advise on regulatory change and support implementation across the business
    • Oversee policies, procedures, breaches, incidents and remediation activity
    • Provide oversight of Consumer Duty, including outcomes testing and Board reporting


    Governance & Assurance


    • Deliver concise, decision-focused reporting to the Board and Committees
    • Support reviews of governance effectiveness and the control environment
    • Coordinate with Internal Audit and oversee responses to findings
    • Support regulatory attestations and senior management sign-off


    Leadership & Culture


    • Lead and develop the Risk & Compliance function, ensuring appropriate capability and resourcing
    • Promote a strong risk culture and accountability across the business
    • Act as an independent, credible and pragmatic advisor to senior leaders


    YOU?


    • Significant senior experience in risk and/or compliance within UK general insurance
    • Strong working knowledge of PRA and FCA regulation, Solvency and governance requirements
    • Proven experience engaging with Boards, Committees and regulators
    • Ability to balance commercial objectives with regulatory expectations
    • Strong analytical and problem-solving capability
    • Clear, confident communicator able to influence at senior level
    • Able to translate complex regulatory and risk concepts into practical business advice
    • Highly organised, with the ability to manage multiple priorities
    • Pragmatic, solutions-focused and commercially aware


    Qualifications


    • Professional risk or insurance qualifications (e.g. IRM, CII) are advantageous
    • Degree in a relevant discipline preferred

    About the employer

    The Portfolio Group
    Apply now

    Apply on the employer's website

    Apply now

    Apply on the employer's website


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