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Senior compliance advisor – permanent

Dublin
Permanent
Oliver James Associates Ltd.
Compliance advisor
Posted: 12 June
Offer description

Permanent roleHybrid - 3 days on siteDublin City CentreCompliance AdvisoryAct as a key compliance partner to the business, providing practical advice and challenge on regulatory matters and emerging risks.Lead or support the delivery of strategic initiatives, regulatory change programmes, and business transformation projects, ensuring regulatory requirements are appropriately considered.Help business teams interpret and apply regulatory expectations in a manner that supports both compliance and commercial objectives.Provide oversight of outsourcing and third‑party arrangements, advising on governance, due diligence, oversight, and regulatory expectations throughout the lifecycle of those relationships.Support Fitness & Probity processes and promote compliance with the Central Bank of Ireland's Individual Accountability Framework.Advise on conduct risk and consumer protection requirements, helping to embed customer‑focused outcomes across the organisation.Oversee delegated underwriting arrangements from a second‑line perspective, ensuring appropriate governance and regulatory standards are maintained.Partner with stakeholders to strengthen operational resilience capabilities and support compliance with relevant regulatory expectations.Regulatory Bodies and Stakeholder EngagementPrepare high‑quality reporting and management information for senior governance committees and Boards.Support engagement with regulatory authorities, including submissions, notifications, applications, and supervisory interactions.Coordinate responses to regulatory enquiries and oversee the completion of resulting actions and commitments.Monitor regulatory developments and industry trends, assessing their potential impact on the business and communicating key insights to stakeholders.Compliance AssuranceAssist in the development and enhancement of compliance controls, frameworks, and monitoring activities across the business.Maintain and oversee compliance policies, standards, and procedures, ensuring they remain aligned with regulatory expectations and business needs.Provide compliance support and oversight across branch operations within Zurich, the UK, and Belgium.Deliver monitoring and assurance activities as part of the annual Compliance Plan, identifying opportunities to strengthen controls and improve outcomes.Collaborate with Risk, Internal Audit, and other assurance functions to promote a coordinated and effective assurance framework.Manage regulatory reporting obligations and support the timely completion of compliance‑related submissions.Contribute to broader team priorities and initiatives, supporting the effectiveness and resilience of the Compliance function.Key Requirements5-7 years' compliance experience within the (re)insurance industry.Degree‑level qualification, ideally in Law, Business, or a related discipline.Holds, or is actively pursuing, a Professional Diploma in Compliance or an equivalent professional qualification.Strong understanding of EU, CBI, PRA/FCA, and BMA regulatory requirements.Professional and proactive approach, with a strong commitment to continuous learning.Excellent interpersonal skills and the ability to build effective relationships with stakeholders across the business.Strong written and verbal communication skills, with excellent attention to detail and organisational abilities.Ability to work independently and collaboratively while managing multiple priorities and projects.Sound judgement and the ability to make effective decisions in a dynamic environment with evolving priorities.Proficiency in Microsoft Office applications, particularly PowerPoint, Excel, and SharePoint; familiarity with AI tools and solutions would be advantageous.DesirableExperience within the specialty (re)insurance market, particularly in areas such as outsourcing, operational resilience, Individual Accountability Framework (IAF), conduct risk, and regulatory licensing.Knowledge of international regulatory frameworks and supervisory expectations.Demonstrated experience in designing, implementing, and enhancing compliance controls.Strong commercial awareness and the ability to develop practical, proportionate solutions.
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