
Location
London
Hours
Full time, hybrid working pattern involving spending two days per week, or 40% of the time, at one of our Risk Hubs.
Salary
£95,418 - £106,020
About the Role
Join Lloyds Banking Group on an exciting journey to transform how Non-Financial Risk is managed across the Group. As a Manager within the Conduct & Compliance Advisory team, you will support compliance oversight of the Global Markets business within Lloyds Bank Plc and Lloyds Bank Corporate Markets Ltd. Working closely with the Senior Manager, you will deliver robust risk management aligned with the Enterprise Risk Management Framework, provide regulatory insight and oversight, and ensure high-quality evidence is maintained across all material compliance obligations. You will help shape and implement compliance policies, risk appetite, and control expectations to enable strong customer, regulatory, and business outcomes.
Key accountabilities include acting as the Conduct & Compliance advisory business partner to Risk and Control Owner teams, providing day-to-day compliance advice to the Global Markets Front Office and related support functions, and working directly on the trading floor as required. You will translate regulatory requirements into clear, actionable compliance obligations and control expectations, lead regulatory traceability exercises, develop regulatory interpretations across multiple regimes including FCA, PRA, EMIR, MiFID/MiFIR, FinSA, BFSA, and Dodd-Frank, and support compliance training initiatives. Additionally, you will assist risk and control owners in identifying control deficiencies, defining remediation, and implementing actions following operational risk events or breaches.
Experience
- Strong background in compliance, conduct risk, or regulatory risk with a solid understanding of Global Markets activities.
- Proven ability to interpret legislation, regulation, and regulatory standards and translate them into practical obligations and controls.
- Experience delivering regulatory traceability, control frameworks, and compliance implementation, especially within regulatory change, s166 reviews, or policy transformation.
- Familiarity with Compliance frameworks, industry developments, consultations, and emerging technologies relevant to risk management.
About you
- Excellent analytical, documentation, and written communication skills with exceptional attention to detail.
- Ability to build effective relationships across a wide range of stakeholders and influence through expertise and challenge.
- Highly organised, proactive, and comfortable managing multiple concurrent workstreams.
- Sound judgement with the ability to make timely, balanced decisions while providing independent and constructive challenge.
- Collaborative approach supporting risk owners to make decisions consistent with risk appetite.
- Inclusive working style that ensures everyone can be themselves in a safe environment.
Qualifications
While specific qualifications are not detailed, experience in business partnering within a Global Markets role, good communication and presentation skills, and a record of delivering results with an awareness of the importance of documentary evidence for key decisions are highly desirable.

