Senior Compliance Advisor (Dublin)
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This is your opportunity to join AXIS Capital - a trusted global provider of specialty lines insurance and reinsurance. We stand apart for our outstanding client service, intelligent risk taking and superior risk adjusted returns for our shareholders. We also proudly maintain an entrepreneurial, disciplined and ethical corporate culture. As a member of AXIS, you join a team that is among the best in the industry. At AXIS, we believe that we are only as strong as our people. We strive to create an inclusive and welcoming culture where employees of all backgrounds and from all walks of life feel comfortable and empowered to be themselves. This means that we bring our whole selves to work. All qualified applicants will receive consideration for employment without regard to race, color, religion or creed, sex, pregnancy, sexual orientation, gender identity or expression, national origin or ancestry, citizenship, physical or mental disability, age, marital status, civil union status, family or parental status, or any other characteristic protected by law. Accommodation is available upon request for candidates taking part in the selection process. Job Description: Senior Compliance Advisor How does this role contribute to our collective success? This role presents an exciting opportunity for an experienced Compliance professional to join the Compliance team in our Dublin office, working closely with Compliance colleagues in both Dublin, London and Brussels. This is a new role and a fantastic chance to join a highly experienced and collaborative and team working within in a global organisation. In this new role, you'll act as a trusted Compliance Advisor to the business-supporting senior leaders to make confident decisions in a fast-evolving regulatory landscape. Reporting to the Head of Compliance PCF-12/52 and working closely with the Chief Compliance Officer, Europe, UK and Bermuda, the role holder will provide pragmatic guidance on key risk themes such as governance, F&P, outsourcing, operational resilience, and consumer protection / conduct risk, while also playing an active part in shaping frameworks, influencing strategic initiatives, and supporting major regulatory change. You'll regularly engage with senior stakeholders across the business, helping to drive informed decision-making and positive regulatory outcomes. What will you do in this role? Compliance Advisory Lead or contribute to new strategic and regulatory projects , including regulatory readiness initiatives, new product / distribution activity, changes to operating models, or cross-border developments. Translate regulatory requirements into real-world actions, helping the business solve problems and manage risk without slowing delivery. Provide clear, practical and commercially minded guidance on regulatory and compliance matters aligned with our compliance universe and tailored to different levels of seniority. Provide oversight and advisory input into the outsourcing and third-party risk framework , supporting the business to meet evolving expectations on governance, due diligence, contracting and ongoing oversight. Supporting the business with regulatory fitness and probity applications and ensuring adherence to the CBI's Individual Accountability Framework . Support the business with European conduct and consumer protection expectations, helping embed fair customer outcomes into day‑to‑day decision‑making. Provide second line compliance oversight of delegated underwriting arrangements, including governance, and ongoing second line oversight of coverholders/MGAs to ensure regulatory and conduct expectations are met. Support the business in meeting regulatory expectations on operational resilience, providing guidance on impact considerations, governance, and evidencing ongoing improvements. Regulatory and Stakeholder Engagement Draft and contribute to compliance papers and updates for key governance forums, including Executive Committees and Boards. Support the maintenance of constructive relationships with our regulators (e.g., CBI, PRA/FCA, BMA), including regulatory communications, applications and inspections. Coordinate regulatory responses and ensure follow-up to regulatory actions or requests are delivered effectively, with strong ownership and oversight. Attend and contribute to industry forums and committees as required to keep ahead of regulatory trends and best practices-bringing insights back to the business. Compliance Assurance Contribute to the design and implementation of proportionate controls, ensuring compliance is embedded into business processes and operational models. Support the development, management, and oversight of Compliance policies and related frameworks, including financial crime , conflicts of interest, fitness & probity , and other key Compliance policies. Provide branch compliance support across our Zurich, UK and Belgium branches. Contribute to the annual Compliance Plan through mo
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