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Compliance Analyst

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Logo of Brown & Brown Insurance

Brown & Brown Insurance

10,000+ employees

Founded 1939

đź’¸ Finance

Finance • Insurance

Brown & Brown Insurance is one of the largest independent insurance brokerages globally, providing a comprehensive range of risk management solutions. Established in 1939, the company offers personal and business insurance, employee benefits, and various national programs. Brown & Brown is committed to diversity, inclusion, and belonging, fostering a culture that values talent and experience. With over 500 locations, the company is well-positioned to meet the diverse needs of its clientele and is listed on the New York Stock Exchange under the ticker BRO. The firm's strategic focus on mergers and acquisitions highlights its disciplined growth strategy.

đź“‹ Description

• Investigating and resolving complaints against company policies and procedures and FCA regulatory guidelines • Help teammates to resolve breaches / errors & omissions • Ensure all incidents are logged and review as part of root cause analysis to look at trends. • Assist the team with internal & FCA reporting • Help manage oversight of appointed representatives and introducers • Review processes to ensure best practice is being followed and offer suggestions for improvement. • Review financial promotions to ensure compliant and not misleading

🎯 Requirements

• Effective time management • Analytical thinking • Basic excel skill • Good level of written communication • Experience in a regulated environment beneficial but not essential as full training to be provided

🏖️ Benefits

• A competitive basic salary plus all the normal benefits • Pension • Death In Service • 25 days holiday + Bank Holidays • Group Income Protection • Private Medical Insurance • A range of flexible benefits post probation • Full support for professional qualifications (including funding)

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