Tizza Compliance

"deliberately different"

"helping you to respond to changes in the regulatory environment"

Proud to be a member of  

Association of Professional Compliance Consultants

About Us

We are a pragmatic general insurance compliance consultancy firm specialising in the provision of all forms of regulatory advice and guidance to brokers, MGA's and insurers.

Having a background in broking, underwriting, operations and sales means we understand the pressures in which you operate. Our skills in project management, detailed knowledge, experience, qualifications and skills in the regulatory environment in which you operate, means we take the headache of regulatory compliance away from your business allowing you to get on with what you do best.

Our strategic model is to build long term relationships with you which will support and encourage your businesses’ growth. We will provide solutions to allow you to deliver new and innovative ways of doing business, while keeping you on the right side of the angels of course. 

“Our approach is different because by getting to understand and know your business, we can tailor our solutions to work within your existing frameworks. Our aim is to be totally flexible by providing a bespoke service at competitive rates where you only pay for what you need.” 

Mark Tyrrell

About Mark

“I am a highly motivated qualified compliance professional with over 25 years’ experience in the insurance industry across all aspects of general insurance including retail and wholesale markets. As well as being a Fellow of the International Compliance Association I am also a Member of the Institute of Leadership & Management.

Previous roles have meant that I have extensive expertise in regulatory due diligence, acquisitions and integration work; implementing and managing successful compliance monitoring frameworks; creation of complaint management frameworks; design, build and implementation of both 1st and 2nd line quality control regimes as well as involvement in regulatory enforcement action, oversight over agency management and a detailed understanding of a number of topics such as Conflicts of Interest, Client Money, SM&CR and Consumer Credit.

I took an active role in supporting the British Insurance Brokers Association (BIBA) including being the Chair of BIBA’s Regulatory Working Group, a position I held from 2015 until I left in 2019 to set up Tizza Compliance. During my time at BIBA I contributed to a number of industry initiatives including premium finance, conflicts of interest and the Insurance Distribution Directive”. 

Our Services

Your Business is at the centre of our Business

Due Diligence

Whether you are looking to sell your business or buy another firm, the regulatory compliance of a firm can be a critical factor and can be as important as a firm’s profitability, especially when legacy liabilities are at risk.

Having been involved in a significant number of acquisitions from both sides we have extensive experience of what good looks like, and more importantly what it doesn’t.

So if you need a thorough assessment of a targets compliance framework or your looking to get your own fit ready for sale we can provide a detailed assessment including a risk assessment and proposed action plan. 


If your Board and Senior Management Team need assurance around the compliance health of your business we can provide a thorough review of all aspects of your regulatory framework making appropriate recommendations.

But unlike other Compliance Consultants, where changes are needed we can provide the solutions. These visits can conducted on either a regular or one off basis.

Audits - 1st & 2nd Line Monitoring 

Having developed a number of 1st and 2nd line monitoring programmes we can provide tailored solutions to suit your needs whether this is through us undertaking a 2nd line review of your sales, service or complaints functions, or alternatively, if you are looking to review and enhance your own 1st or 2nd line function we can review and make appropriate recommendations, providing bespoke procedures, documentation and training solutions to support.

Guidance & Advice 

Once you have engaged with us we will always be on hand to provide any guidance and advice.

This can range from simple advice requiring minimal time which will be provided free of charge to more substantial work which will be discussed and agreed on a case by case basis.


As well as undertaking a review and providing recommendations on your internal complaints handling activities we can ensure that your processes, procedures and documentation remain fit for purpose. 


Whether you have policies and procedures in place that need an overhaul or you’re looking to implement a new product or scheme that needs regulatory involvement we can help you manage that change effectively and efficiently.


Whether you are an MGA, Lloyds Coverholder or Broker who provides delegated authority (DA) to third parties, we can undertake an annual review of your DA’s to ensure your third parties are operating to the required standards expected of any outsourced function.


Whether you are looking for a bespoke training solution or one of our standard products, we can support a wide range of face to face training solutions to suit your needs.



56 Knapping Hill | Harrogate | HG1 2DN


+44 7576 775530

We are proud to be members of the
Association of Professional Compliance Consultants

Tizza Compliance is a trading division of Tizza Limited
Registered in England and Wales 
Company Registration Number 11622817

© Copyright 2019 Tizza Limited - All Rights Reserved