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SUE BURN.

Sue has stepped in to cover for a variety of Compliance roles on an interim basis and her experience has provided a breadth of knowledge in the London Market and worldwide with over 30 years’ insurance experience.  Her previous experience focusses on providing regulatory support, developing and implementing compliance frameworks, as well as developing and delivering training and competence arrangements for global firms. 

Sue’s auditing experience covers the auditing of Lloyd’s Coverholders, Appointed Representatives, Brokers and associated insurance third parties over the past 16 years.  Audits have included Annual Audits, interim audits and working with Lloyd’s Minimum Standards requirements.

 

She has a broad range of knowledge having worked with some major Brokers, Managing Agents and Insurers since 1989.

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If you have any questions about your arrangements or you are a startup looking for guidance, contact our expert team.

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At RRCA we provide a comprehensive and tailored service, meeting individual needs and FCA obligations. Whether you are a start-up or an established firm, our expert consultants are here to provide guidance and support.

 

You can find ample information on our website or if you prefer, simply contact us for an obligation free and confidential discussion about your needs.

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RR Compliance Associates are a trading style of R&R Compliance Consultants Ltd, a limited company registered in England and Wales (company number 12070286). Our registered office is 51 Lime Street, London, EC3M 7DQ. VAT number 326 1938 96.​

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