Risk & Compliance

Risk & Compliance works with the business to identify, analyse and manage risks which might impact on Staysure achieving its business objectives. They also ensure we adhere to the rules and regulations set by the Financial Service Industry and Regulatory Bodies: Financial Conduct Authority (FCA), the Information Commissioners Office (ICO), the Financial Services Ombudsman (FOS), Health & Safety legislation (H&S) and HR legislation. Risk Management focuses on ensuring that we have identified and managed all of our risks to an appropriate degree; Compliance focuses on breaches, complaints, financial promotions, call monitoring and ensuring that the business is fully up to date on new and current regulations

“The four years I have been with the Company have been most rewarding – if you want to work in a great environment this is the place. We have introduced Compliance best practice and more recently a Risk framework throughout the organisation that has been accepted with open arms by the staff and that has resulted in strong supportive relationships. I am delighted in the diversity of my work and it is extremely motivating to have joined a company early in its growth process. I thoroughly enjoy working in such a collaborative atmosphere where camaraderie is forefront. Staysure truly appreciates its employees by recognising and rewarding efforts and performance.”

— Jude

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