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Collinson is the global, privately-owned company dedicated to helping the world to travel with ease and confidence. The group offers a unique blend of industry and sector specialists who together provide market-leading airport experiences, loyalty and customer engagement, and insurance solutions for over 400 million consumers. We are looking for an experienced Compliance Auditor / Compliance Monitoring Officer to join the Compliance team within our Insurance Division. This is an excellent opportunity for someone with strong FCA regulatory knowledge and hands-on compliance assurance experience to play a key role in delivering a risk-based compliance monitoring programme across both internal operations and external insurance distribution partners. This role offers exposure to a broad range of insurance products and stakeholders across multiple jurisdictions, alongside the opportunity to independently manage audits from planning through to reporting and action closure.
Job Responsibility
Plan and deliver 2nd line risk-based compliance audits and monitoring reviews
Draft audit scopes aligned to regulatory requirements and business risk profiles
Conduct audit fieldwork including evidence reviews, stakeholder interviews, walkthroughs and control testing
Produce clear, high-quality audit reports with practical and proportionate recommendations
Identify root causes and support remediation activity
Track, validate and oversee the timely completion of audit actions
Build effective relationships with internal stakeholders and external distribution partners
Provide independent challenge while maintaining a collaborative approach
Support thematic reviews and regulatory readiness activity
Maintain accurate audit documentation, records and correspondence
Keep up to date with emerging regulatory developments and industry expectations
Requirements
Minimum 2 years’ experience within a 2nd line Compliance Assurance, Compliance Monitoring or Compliance Audit role
Strong knowledge of FCA regulation relevant to insurance distribution, including PRIN, SYSC, ICOBS and DISP
Experience auditing third parties, intermediaries, agents or outsourced service providers
Strong analytical, investigative and report-writing skills
Excellent stakeholder management and communication skills
The ability to manage multiple audits and competing priorities effectively
High levels of integrity, professionalism and independence
Confidence handling challenging conversations and delivering constructive feedback
Good working knowledge of Microsoft Office and compliance/audit systems
ICA, CII or other relevant compliance qualifications
Exposure to MFSA or wider European regulatory frameworks
Nice to have
ICA, CII or other relevant compliance qualifications
Exposure to MFSA or wider European regulatory frameworks
What we offer
Hybrid working model
Opportunity to work across international insurance operations
Exposure to a broad and varied compliance assurance programme
Collaborative and supportive team environment
Professional development and ongoing learning opportunities