Job Description

Posted 3 years ago

An opportunity for an experienced insurance professional to join a leading Broking House with a growing national presence. Brokers with an interest in compliance are encouraged to apply.

The Role:

  • Assist in general insurance broking audit file reviewss
  • Development of sustainable processes
  • Assist in business reporting in respect of audit findings
  • Instrumental in development, implementation and management of a broker compliance program that ensures that the company’s regulatory and non-regulatory risks are mitigated
  • Identifying learning and development needs and opportunities that can be developed by the L&D team into formal programs
  • Carry out other compliance related duties that are within the limits of the employee’s skill, competence and training  

  

Your Experience:

  • Good knowledge of products and processes associated with broking and general insurance
  • Solid reporting and presentation skills
  • Ability to work collaboratively with a range of internal and external stakeholders
  • Results oriented and self-motivated
  • Ability to use WinBeat, Excel, Word and compliance software
  • Excellent written and verbal communication

 

If this sounds like a good fit, please apply directly or reach out to Greig 0476 806 232 or via the Apply Now button.

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