Compliance Management Services Ltd provides FCA compliance and related support services to general insurance brokers and intermediaries. The company only uses qualified consultants with a background in the insurance industry and at least five years' experience of compliance and related audit work in the insurance broking sector. Support is provided through on-site visits, as well as telephone and email contact. Clients are also kept informed of significant regulatory developments, including revisions to rules and procedures. In addition to compliance and support services, the company offers a number of stand-alone services including pre-acquisition compliance due diligence, file audits and training.