Regulatory Compliance Resume Samples

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EO
E Ortiz
Evans
Ortiz
1956 Veum Highway
Boston
MA
+1 (555) 608 7069
1956 Veum Highway
Boston
MA
Phone
p +1 (555) 608 7069
Experience Experience
New York, NY
Regulatory Compliance Counsel
New York, NY
Ziemann and Sons
New York, NY
Regulatory Compliance Counsel
  • This role will also be responsible for assisting with the management of surveys
  • Developing a clear view on rules that may be ambiguous in their application
  • Working closely with UBS employees throughout the firm
  • Provide analytical support for and assist in the development of corporate-level compliance programs (policies and procedures), including the corporate Code of Conduct; political engagement; information privacy; records retention; and anti-bribery and anti-corruption
  • Partner with the Director of Market Conduct to serve as liaison to state insurance departments for regulatory examinations, inquiries and investigations, and assist in the supervision, collection and orderly production of company information and materials responsive to underlying regulator requests
  • Create and distribute internal reports relating to pending regulatory matters and assisting with the process for regulatory reporting obligations of Regulatory Compliance
  • Work closely with business and compliance personnel to formulate remedial actions and track/drive their implementation
Detroit, MI
Regulatory Compliance Coordinator
Detroit, MI
Rau-Batz
Detroit, MI
Regulatory Compliance Coordinator
  • Resolve pending issues delaying Customs Clearance of cargo
  • Up keep of C-TPAT program and continued training of UA employees and supply chain
  • Preparation of Export Invoices
  • Monthly KPI and financial reporting to Senior Leadership
  • Maintenance of Import Compliance manual and coordinating SOP’s
  • Post entry audits of U.S. Customs entries
  • Responsible for maintaining documents for correct record keeping and compliance
present
San Francisco, CA
Regulatory Compliance Associate
San Francisco, CA
Crona, Cruickshank and Leffler
present
San Francisco, CA
Regulatory Compliance Associate
present
  • Will assist the Clinical Trial Regulatory Manager to create IRB correspondence and track submission progress
  • Schedules and performs routine collaborations with CAPA owners, interface with CAPA Coordinator to perform timely processing of assigned CAPA files
  • Assist in developing and implementing institutional animal care and use policies, programs, and standard operating procedures
  • Perform data entry, management and tracking functions on import and export process outputs
  • Create and manage distribution lists for communications
  • Create and manage calendar of all recurring and ad hoc conference calls, meetings and events for the Clinical Trials Group
  • Working knowledge in regulations, policies, and nationally accepted standards regarding the care and use of animals in research, testing, and instruction
Education Education
Bachelor’s Degree in Business
Bachelor’s Degree in Business
University of Georgia
Bachelor’s Degree in Business
Skills Skills
  • Good understanding of legal knowledge related to financial law (Banking Act, Financial Instructions and Exchange Law etc.)
  • Proficient at MS computer knowledge (MS Word, Excel etc.)
  • Basic knowledge of accounting and tax or ACAMS license
  • Maintain focus and attention to detail
  • Previous experience in AML / Sanctions compliance or equivalent knowledge and skills in financial institutions or others
  • Great communication skills to properly convey monitoring / testing results to target destinations
  • Work effectively in a professional team environment
  • Effectively communicating complex laws and regulations in easily understandable terms
  • Working knowledge of CIB business processes and operations
  • Strong analytics
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15 Regulatory Compliance resume templates

1

Regulatory Compliance Director Resume Examples & Samples

  • Knowledge of bank regulation
  • Experience overseeing or establishing enterprise-wide compliance programs
  • Ability to offer solution-based guidance to functions and business units
  • Ability to proactively research and stay current of the changing laws and regulations applicable to Regulation W
  • Bachelor’s degree required/JD or masters degree a plus
  • Strong industry experience of at least 10 years, with a background in Risk, Control, Compliance or Audit (or equivalent), preferably gained in a financial institution
  • Experience with Federal Reserve requirements a plus
  • Proficiency in Regulation W for a large complex financial service organization is desired
  • Prior experience implementing a Regulation W program highly desirable, but not required
2

GIM Regulatory Compliance Tech-java Resume Examples & Samples

  • Design, implement, test and maintain major server-side, client-side components and web applications
  • Participate in design reviews and provide design recommendations; incorporate security requirements into design; and provide input to information/data flow, and understand and comply with architectural standards in all phases
  • Mentor less experienced developers
  • Should be able to work independently in multiple projects and juggle multiple priorities
  • 6-10 years of hands-on experience in Enterprise Application Development using Java/JavaScript, J2EE, XML, Web Services/SOA and HTML, HTML5
  • Advance knowledge of Javascript, Ajax, ExtJS, JQuery
  • Experience with open source frameworks: Open source frameworks, e.g., Spring, Hibernate, JSTL
  • Experience of UI design and development
  • Experience with Continuous Integration tools like Maven for build/deployment process
  • Strong understanding of object oriented programming and design patterns
  • Strong technical, analytical, problem solving and communication skills
  • Experience with system, application, and process documentation including tools such as MS-Visio, etc is a plus
3

Head of Regulatory Compliance Resume Examples & Samples

  • The role holder is required to work with considerable autonomy, in managing and leading the Regulatory Compliance function in Canada and establishing the policies and procedures of the Group in managing these risks
  • This can involve dealing with major issues for which there is no clear cut solution whilst still being able to provide judgement and clear direction
  • Where items of major consequence are involved, reference is made to the Global Head of Risk Compliance as well as the Canada Chief Risk Officer
  • Profound and far-reaching issues may also need to be directed to the Canada CEO
  • The nature of the role requires close working contact with senior executives across the Group but particularly Country Heads of Regional Compliance, Global Head of Regulatory Compliance, Head of Regulatory Compliance for Global Businesses and Functional Heads of Regulatory Compliance and Shared Services
  • Significant experience as a regulator, senior compliance manager or equivalent within a global firm, in the financial services industry
  • Detailed and extensive knowledge of the HSBC Group structure, its business and personnel, and HSBC’s corporate culture
  • Significant leadership experience and an experienced strategic thinker
  • Excellent communication and inter-personal skills, with experience of dealing with executives at all levels
  • A legal or formal accountancy qualification or background in one of these a risk or audit discipline
4

Head of Regulatory Compliance Asset Management Resume Examples & Samples

  • Senior level global compliance officer with leadership qualities
  • Role is based in New York with oversight of Canada and Bermuda
  • Role includes advisory function to offshore affiliates that are registered with US regulators
  • Conduct due diligence on US advisors that are part of the Multi-Alpha Platform
  • Conduct due diligence of offshore affiliates that are sub-advisors to AMUS contracted clients
  • Travel includes visits to the Canadian, Bermuda, sub-advisor visits and offshore affiliates managing AMUS contracted accounts
  • Participation in regulatory and industry meetings e.g. SEC Outreach Program, ICI in Washington, D.C
  • Application of Extra-territorial regulations on AMUS
  • 10 years experience with expertise and advisory knowledge of
  • Investment Advisors Act of 1940
  • Investment Company Act of 1940
  • Securities Act of 1933
  • Securities and Exchange Act of 1934,
  • FINRA Rules, Dodd Frank, CFTC
  • Series 7, 24, 3, 63
  • UCITS
  • AIFMD
  • EMIR
  • Demonstrated process management and issue resolution
  • Proven decisive, good communicator with excellent presentation and interpersonal skills
5

SVP Head of Regulatory Compliance GBM Markets Resume Examples & Samples

  • Providing line management and oversight of MRC LCOs serving US domestic business in accordance with the team structure as amended from time to time
  • Managing, either directly or via members of the team, significant regulatory investigations, exams and inquiries
  • Liaising with Compliance functions in respect of the implementation of appropriate Regulatory Compliance Risk Assessment and Compliance Monitoring and Surveillance processes to ensure the effective management of regulatory compliance risk in the US
  • Providing proactive, timely and accurate regulatory compliance advice to enable the optimal management of the regulatory issues affecting areas of responsibility
  • Deputising for the Head of MRC Americas and assisting with the development of strategy for the continuous enhancement of the standards of Compliance support to Markets businesses across the region
  • Assessing and facilitating the Compliance support needs of branches operating in the US conducting Markets business
  • Supporting, either directly or via members of the team, disciplinary proceedings involving members of staff where required standards of Compliance have not been met
  • Supporting the management of successful Regulatory relationships
  • Operates effectively under the pressure of deadlines, constant regulatory oversight, and business unit performance
  • Strong written, verbal communication, and presentation skills
6

Americas Head of Regulatory Compliance Markets Regulatory Change Implementation Resume Examples & Samples

  • Coordinates across the region with line of the business change management teams, Business Risk Control Managers (BRCMs) as well as line of business compliance officers (LCOs) to develops and implement appropriate compliance policies, programs, and controls for area of responsibility
  • Assist the Head of MRC Americas in setting the standards expected of Compliance in carrying out regulatory change implementation
  • Participate in industry fora to track and contribute towards the development of new regulation impacting Markets business, in conjunction with LCOs, safeguarding the firm's interests
  • To maintain a regional book of work concerning material regulatory change implementation initiatives and track to completion (to be linked to a global book of work for the Markets business as a whole)
  • Provide and/or contribute towards regulatory change training for Business, Compliance and other stakeholder staff as relevant, to ensure regulatory change maps in to the BAU environment effectively
  • To coordinate with the Global Head of Regulatory Change Implementation, ensuring a globally consistent response to new regulation applicable to Markets businesses operating across countries and regions
  • Provide line management to 1 Compliance officer supporting this role
  • Advises business units as they conduct Compliance Detailed Self Assessments (CDSAs) and the development of appropriate mitigating controls/action plans. Assists in completing the Enterprise-wide Risk Assessments (ERAs), as well as any relevant functional risk assessments for respective business unit and Compliance
  • Develops LCO Compliance team procedures for area of responsibility
  • Implements the Group compliance policy locally by managing compliance risk in liaison with the Global Head of Compliance, Global Compliance Officer, Area Compliance Officer or LCO, ensuring adequate compliance resources and training, fostering a compliance culture and optimizing relations with regulators
  • Escalates any significant compliance issues and trends to business unit senior management, HNAH Compliance management and Group Compliance
  • Develops and maintains, in conjunction with business line management, processes to monitor and report on the effectiveness of the first and second line of defense against compliance risk at the business unit-level. Provides adequate reporting and MIS regarding Compliance related activities and initiatives relevant to the business and its operation
  • Ensures vendor oversight is in place and operating effectively for assigned businesses. Provides compliance expertise in reviewing vendor services throughout the life cycle of the vendor relationship, and escalates significant compliance concerns as appropriate
  • Complete Monthly LCO Reports in accordance with the centralized reporting processes established by MIS Strategy
  • Completes other responsibilities, as assigned
  • Balances increasing demands placed upon the business by the introduction of new or revised regulatory requirements
  • Helps to ensure future business growth is attained in a responsible and conscientious fashion while the operation remains regulatory compliant and commercially sound
  • Minimum of 15 years proven compliance and/or regulatory experience and 5 years of supervisor/management experience
7

Regulatory Compliance SME Content Specialist Resume Examples & Samples

  • Two years proven training delivery & design experience, or equivalent
  • Knowledge of Regulatory Compliance polices and procedures, as well as knowledge of the constant changing environment
  • Proficiency with personal computers as well as pertinent mainframe systems and software packages
8

Regulatory Compliance Advisory Resume Examples & Samples

  • Assist with the implementation of compliance policies and supervisory controls
  • Assist in providing timely, accurate and consistent regulatory guidance to business’ program initiatives and identifying compliance/regulatory issues associated with the new business proposals
  • Conduct compliance training to business personnel
  • Assist with preparing annual compliance meeting materials and reporting for registered representatives and management oversight committees
  • Assist with branch reviews
  • Prepare and maintain reports in excel
  • Special ad-hoc projects as required
9

Compliance Officer, Regulatory Compliance Resume Examples & Samples

  • May service as a subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US. Serves as the central point of contact for US Compliance and oversees the accuracy of the information regarding the regulation in the risk assessment tools while serving as the advocate for consistency for controls
  • Knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Provides support to ensure remediation efforts are on track for assigned regulation(s), regulatory requirements and/or compliance risks
  • Bachelor’s Degree in Finance, Accounting or related field
  • Financial industry experience preferable
10

GIM Regulatory Compliance Tech-etl Developer Resume Examples & Samples

  • Clear focus on managing client assets and delivering strong risk-adjusted returns
  • More than 650 investment professionals providing over 200 different strategies spanning the full spectrum of asset classes, including equity, fixed income, cash liquidity, currency, real estate, hedge funds and private equity
  • Leadership positions in America, U.K., Continental Europe, Asia, and Japan
  • Architect, design and implement and test back-end components of an n-tier application, including data model, data access objects, and application logic
  • Participate in project planning sessions with project managers, business analysts and team members to analyze business requirements and outline the proposed IT solution
  • Participate in design reviews and provide input to the design recommendations; incorporate security requirements into design; and provide input to information/data flow, and understand and comply with architectural standards in all phases
  • Document the detailed application specifications, translate technical requirements into programmed application modules and develop/enhance software application modules
  • Participate in code reviews and ensure that all solutions are aligned to pre-defined architectural specifications; identify/troubleshoot application code-related issues
  • Research and prototype new technologies as appropriate
  • Ensure quality and completeness of the product through unit testing, documentation and maintenance as appropriate
  • 5-8 years of experience in Application Development using Informatica
  • 5-7 years of experience in writing SQLs (Proficiency in Stored Procedures, Triggers, Batch processing and Performance tuning is a must)
  • Minimum 5 years experience with Control-M
  • Experience with working in data-warehousing/data-marts is a must
  • Experience with Unix Shell Scripting is a must
  • Strong technical, analytical, problem solving, and communication skills
  • Experience with system, application, and process documentation including tools such as MS-Visio, etc
  • Excellent verbal, written, interpersonal, organizational and time management skills
  • Experience with SVN Source Code management techniques/ tools for software management, Knowledge SDLC tools (JIRA)
  • Demonstrated teamwork and ability to work with diversified multi-location team
  • Experience with working on Agile/Scrum method of product implementation and delivery
  • Experience in Investment Management Technology applications preferred
11

Analyst Regulatory Compliance Conduct Compliance Privacy Resume Examples & Samples

  • The jobholder will have direct control over project deliverables within the usual authority limits for a GCB 5 and may be required to work independently, as part of a team, or provide guidance to less experienced analysts
  • Jobholder may be required to manage multiple projects involving interaction with several business areas
  • Jobholder will be expected to adopt a flexible approach in terms of working hours and travel to other locations
  • Undergraduate degree in Business Administration, or equivalent business and/or technical experience in a related field
  • Experience in Privacy, Operational Risk, Compliance at a financial services privacy function
  • Prior experience managing Enterprise Risk Management systems a plus
  • RSA Archer training a plus
  • IAPP Certification a plus
  • Ability to work independently and manage multiple technical and/or non-technical projects
  • Have knowledge of project lifecycle and methodologies
  • General knowledge of US privacy regulations and knowledge of non-US privacy regulations are a plus
  • Confidence working with staff that includes the highest levels of management
  • Ability to develop cohesive working relationships with business partners
  • Excellent facilitation and leadership skills
  • Excellent analytical, interpersonal, presentation, written & verbal communication skills
12

VP Director Regulatory Compliance Resume Examples & Samples

  • Interacts and fosters relationships with applicable regulators
  • Develops external contacts, as appropriate, among industry peer groups to determine/validate the Company is aligned with industry best practice
  • Monitors, in coordination with the line of business LCOs, the status of any related material compliance issues identified and reported by Compliance Testing and Control (CTAC),
  • Compliance Inspection Unit (CIU), BRCMs, regulators or Internal Audit and provides updates to business unit management as necessary
  • Is Knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified
  • Ensures remediation efforts are on track for assigned regulation(s), regulatory requirements and/or compliance risks
  • Articulates any control weaknesses and status of plans to address these across HNAH. Initially, this information will be part of the Regulatory Controls Review (RCR) Controls Remediation Project for each regulation
  • Typically works under the direction of the SVP Regulatory Compliance, but in some cases, may be the lead regulatory officer for assigned area
  • Minimum 10 years proven audit, compliance, financial services and/or regulatory experience, or equivalent
  • Well-developed managerial, communications, negotiation, analytical, interpersonal, organizational, project management and strategic and/or operational planning skills
  • Minimum of a Bachelor’s degree in business, related field or equivalent experience; Master’s degree and/or Juris Doctorate (JD) preferred
13

Americas Head of Regulatory Change for GBM Regulatory Compliance Resume Examples & Samples

  • Provide expertise, guidance, oversight and governance in support of strategic initiatives and management of compliance risk, predominantly in relation to new regulatory requirements effecting all GBM businesses lines
  • Coordinates across the Americas region with line of the business regulatory change implementation teams, Business Risk Control Managers (BRCMs) as well as line of business compliance officers (LCOs) to develops and implement appropriate compliance policies, programs, and controls for area of responsibility
  • Provide more dedicated support to complex transformational change initiatives, in harmony with line of business compliance, for example EMIR and Volcker
  • Assist the Americas Head of GBM Regulatory Compliance in setting the standards expected of Compliance in carrying out regulatory change implementation
  • Coordinate with regulatory change management teams in GBM RC EMEA, GBM RC Asia and HNAH to ensure a globally consistent response to new regulation applicable to all business lines operating across countries and regions
  • Participate in industry fora to track and contribute towards the development of new regulations impacting all GBM business areas, in conjunction with LCOs, to safeguard the firm's interests and reputation
  • To maintain a regional book of work concerning material regulatory change implementation initiatives and track to completion
  • Provide and/or contribute towards regulatory change training for Business, Compliance and other stakeholder staff as relevant, to ensure regulatory change maps in to the BAU environment effectively; and
  • Minimum of 15 years proven compliance and/or regulatory experience and 5+ years of supervisor/management experience
  • Bachelor of Arts or Science and Juris Doctor degree
14

AVP Regulatory Compliance Rbwm Amca Resume Examples & Samples

  • AMCA is an entity of the Retail Banking and Wealth Management Business “RBWM”. This role needs to lead without authority and be able to collaborate with multi stakeholders and deliver results. The role holder must be able to influence senior management and articulate clear business reasons for change initiatives. The jobholder will maintain close interaction with multiple Compliance Teams as well as Senior Management within AMCA
  • Bachelor’s degree. Chartered Financial Analyst &/or Master’s Degree would be considered an asset
  • 10 to 15 years in the securities industry with asset management experience. Proven and progressive financial services operations, compliance or legal experience or equivalent
  • Full understanding of all significant regulatory compliance requirements, laws and regulations applicable to Portfolio Managers, Investment Fund Managers and Exempt Market Dealers
  • Proficiencies for immediate registration as the Chief Compliance Officer for AMCA under Canadian regulatory requirements
  • Very wide scope of knowledge of asset management industry, including products, operations, systems and organization
  • Excellent communication and inter-personal skills, with experience of dealing with executives at all levels including the capacity to articulate the case for risk management and policy in the language of business
15

Cib-equities Regulatory & Compliance Resume Examples & Samples

  • Flow Sales and Trading (Front Office Sales and Trading Order Management systems and Reporting)
  • Compliance Technology
  • Required Skills & Qualification
  • Years of experience : #10-14 years
  • Schooling Experience : Bachelor's degree in computer science or related discipline
16

Compliance Officer Swaps Regulatory Compliance Resume Examples & Samples

  • 2-5 years of compliance or regulatory experience, preferably with a federal regulator or self-regulatory organization, or in a trading environment, risk management function, or law firm
  • Working understanding of Title VII of the Dodd-Frank Act as it pertains to the obligations of Swap Dealers and Security-based Swap Dealers
  • Familiarity with trading deal capture systems
  • Securities and/or futures licenses
  • Experience in an investment banking environment
17

Regulatory Compliance Business Manager Resume Examples & Samples

  • Assistant Vice President , Head of Enterprise Wide Regulatory Compliance (RC) will provide supervisory guidance
  • Bachelor’s degree in Law, Business, Accounting, or related field
  • Minimum of seven years proven and progressive financial services, legal or compliance experience, or equivalent
  • Proficiency in laws, regulations and regulatory compliance requirements related to enterprise wide regulatory compliance
  • Proven interpersonal, organizational, communication, negotiation, analytical and project management skills
  • Strong knowledge of regulatory compliance, products, operations and systems combined with in-depth understanding of and experience with compliance risks and controls assessments
  • High level of proficiency with Microsoft Office applications
18

Director, Regulatory Compliance Management Resume Examples & Samples

  • Document findings and ability to assess general impact on potential consequences of recommendations
  • Recommends/leads special audits/projects
  • Makes recommendations to clients re control deficiencies and follows up to ensure significant deficiencies are corrected
  • Oversees the development of audit reports
  • Supports GRM, Compliance
  • Within approved financial plan and as outlined in Delegation of Authorities
  • Recommends new hires/promotions PL7 to PL 8
19

Payment Services Regulatory Compliance Audit Manager Resume Examples & Samples

  • Executes completion of the Audit Plan, measured by planned monthly report issuance, to within 95% of the Audit Committee approved plan
  • Completes all audit planning activities in accordance with CAS Policies and Procedures (based primarily on IIA Standards and Regulatory Heightened Expectations) including client communications
  • Acts as the primary client contact throughout the audit process
  • Supervises and trains the assigned audit team during their completion of the Risk & Control Design Assessments and Control Performance Effectiveness work. This includes reviewing and approving sampling rationale and test design
  • Completes detailed workpaper reviews to assure work is completed and documented in accordance with CAS Policies and Procedures
  • Completes the summarization phase of assigned audits
  • Identifies issues that warrant issuance of Alerts to management and writes the Alert narratives
  • Provides responses to issues identified in connection with the CAS Quality Assurance Review (QAR) and resolves QAR issues as necessary
  • Responsible for personnel management of the assigned team in accordance with Human Resource Policies including performance evaluations, career development, training, and recruiting. The department standard is to keep unplanned turnover to 15% or less
  • Manages chargeable hours of the assigned team to a minimum of 80% (1700 hours annualized)
  • Performs other duties as requested by the Audit Director
  • Bachelor’s degree in accounting or relevant area of study,
  • A combination of at least seven years progressive experience in any of the following: public accounting, federal regulator, financial institutions internal audit, and/or regulatory consulting
  • Both card issuance and merchant acquiring experience a plus
  • Experience auditing significant compliance rules related to the Payment Services industry or establishing second line of defense policy and procedures related to significant Payment Services regulations or key regulatory heightened expectations
  • Professional Certification as a CIA, CRCM, and/or CAMS
  • Knowledge in auditing, reporting and analysis
  • Well-developed ability to identify and resolve exceptions and to analyze data
  • Thorough knowledge of appropriate regulations, and expertise in interpreting and communicating complex federal regulations to personnel corporate-wide
  • Strong leadership, team building, analytical and organizational skills
20

Senior Analyst Regulatory & Compliance Reporting Resume Examples & Samples

  • Leads end-to-end process and methods supporting all areas of business intelligence and data warehouse delivery to increase quality including process compliance and data controllership capabilities
  • Works closely with customers to capture, analyze and document business and functional requirements
  • Facilitates business intelligence team(s) through identifying and implementing process improvements
  • Manages entire projects through analysis, design, and build, across cross functional resource teams
  • Work with team to manage and prioritize development projects and enhancement and maintenance requests
  • Enforces adherence to processes and mentor team members to grow into new roles and responsibilities
  • Directs the project development process including planning and monitoring development efforts, reviewing deliverables and communicating status to both management and customers
  • Designs and implement metric analysis and reporting to identify process improvement opportunities
  • Bachelor's Degree (or equivalent work experience) with minimum 7 years of IT experience Eligibility Requirements
  • Must be 18 years or older
  • Must be willing to work out of an office in Van Buren Township, MI
  • Demonstrated ability to multitask across multiple projects and teams
  • Demonstrated experience leading teams and using project management methodology
  • Demonstrated experience driving compliance, process and standardization
  • Experience in project management methodology (PMM)
  • Financial services domain expertise in Banking regulation (i.e. Basel III, Dodd-Frank, SR-1107) & Risk/Finance
  • Extremely strong communication skills with the ability to influence across complex matrixed organizations
  • Awareness of traditional and emerging data management concepts/methodologies
  • Experience within financial services / regulated banking entities
  • Experience with SOX and Compliance reporting and documentation
21

GIM Regulatory Compliance Tech-java Resume Examples & Samples

  • Architect, design and implement and test back-end components of an n-tier application, including data model, data access objects, and application logic
  • Minimum 5 years of experience in Enterprise Application Development using Java/JavaScript, J2EE, EJB, XML, Web Services/SOA and HTML
  • Experience with system, application, and process documentation including tools such as MS-Visio, etc
22

Bank Regulatory Compliance Resume Examples & Samples

  • Knowledge of, and experience working with, federal banking regulations, such as BSA, Truth in Lending, RESPA and Equal Credit Opportunity
  • Minimum 5+ years of experience working with banking regulations
  • Strong analytical, interpersonal and organizational skills a must
  • Ability to travel regionally to serve financial institution clients
23

Bank Regulatory Compliance Consultant Resume Examples & Samples

  • Evaluate banking clients for compliance with laws and regulations
  • Minimum 2+ years of experience working with banking regulations
  • Proficiency with Microsoft applications (Word, Excel and PowerPoint)
24

Regulatory Compliance Leader Resume Examples & Samples

  • Have strong Legal / Compliance / Policy skills and qualifications
  • Have the ability to engage confidently with regulators
  • Be able to lead, mentor and manage a small team
  • Ideally have strong Financial Services regulatory knowledge
  • Have the ability to work under pressure and meet key deadlines
25

Cib-equities Regulatory & Compliance Resume Examples & Samples

  • Partner with the Compliance and Regulatory leads to fully understand the requirements of new compliance initiatives as well as changes to existing rules
  • Document business requirements, specifications and business processes and participate in translation of them into technical specifications
  • Document detailed use cases for each phase of the project. Conduct review sessions with technology and project teams to ensure that all scenarios are understood and supported
  • Partner with Operations users to ensure that the requirements from front office, middle office and back office are reviewed and validated and detailed functional requirements are documented
  • Strong Business analysis skills in finance industry
  • Strong organizational skills to track and communicate progress and issues
  • 10-14 years of experience in a BA/PM role
26

Cib-equities Regulatory & Compliance Resume Examples & Samples

  • Masters or Bachelors in Computer Science with solid track record and experience in building large scale data warehouses and production platforms handing critical data
  • Active hands on experience in building Big Data warehouse using Hadoop, Hive and HBase platforms
  • Experience with query processing and tuning report from Hive
  • Experience with ETL and processing real-time data on Hadoop platform
  • Data management, archival, reporting and analytics experience
  • Strong in Object Oriented Development and Java platform
  • Excellent communication skills are a must for this position
  • Strong CS fundamentals, data structures, algorithms with good understanding of Object-Oriented Design Principles, architecture and prevalent design patterns
  • Experience with caches, multi-threaded design principles, concurrency is a plus
  • Experience with Agile Scrum process, test driven development and continuous integration (Jenkins) is a big plus
27

Regulatory Compliance Risk Advisor Resume Examples & Samples

  • Work closely with operations leadership to provide risk assessment of the current and proposed business activities such as marketing, advertising, and benefit development
  • Facilitate internal regulatory compliance audits
  • Possess the ability to manage multiple priorities and work under pressure to meet deadlines
  • Ability to work independently to define and prioritize deadlines and seek help when necessary
  • Ability to quickly develop strong professional working relationships internally and externally
  • Strong attention to detail and accuracy
  • Legal training (i.e., paralegal or law school)
  • Knowledge of the healthcare insurance industry
  • Working knowledge of Part C/Medicare Advantage program is a plus
  • Experience interacting with governmental agencies
28

Investment Adviser Regulatory Compliance Counsel Resume Examples & Samples

  • Experience with investment advisor regulatory compliance, including the Investment Advisers Act of 1940
  • Proactive approach in identifying and correcting existing or potential problem areas
  • Proven ability to develop and maintain client relationships
  • Member of New Jersey bar
  • Intuitive comfort within a technology-driven environment and strong computer skills
  • A willingness and strong desire to do what needs to be done to meet the needs and expectations of clients and colleagues
  • Awareness of broker-dealer and/or hedge fund regulation
29

Technical Regulatory Compliance Engineer Resume Examples & Samples

  • Accredited engineering degree (BS) in mechanical engineering, industry engineering and manufacturing engineering
  • 10 or more years of engineering experiences with engine products including the engine performance, the design and validations and the applications
  • A minimum five years hands-on working experiences with MCS like American Bureau of Shipping or Net Norske Veritas- Germanischer Lioyd or etc
  • Working knowledge of the manufacturing processes including casting, forging and machining of the key engine components, the engine assembly and typical applications of the engine / engine products
  • Familiar with the engine product requirements (performance, reliability and durability) and the new product development processes
  • Strong ownership of the engine compliance process and customer focus. Commitment to the customer satisfaction
  • Good English skills in both written and oral. Good project management skills and capability
  • Excellent inter-personal skills and self-motivated with strong learning desire and high working standards
  • Ability to communicate technical information effectively with team members, product group engineers and managers as well as external business partners
  • MS degree or equivalent majoring in internal combustion engines
  • Excellent communication skills and project management experience
  • Working knowledge of medium speed engine applications
  • Germany speaking
30

VP, Regulatory Compliance Resume Examples & Samples

  • Developing systems and procedures to ensure regulatory compliance with SEC requirements, including the Investment Advisers Act of 1940, and those of other U.S. regulatory agencies and self-regulatory organizations such as the CFTC and NFA
  • Managing the filing of Form ADV and other disclosure documents and ensuring that such filings and disclosure documents reflect accurate data and Oaktree policies and conflicts of interest
  • Keeping abreast of changes within the firm and analyzing the impact of such changes on required filings and disclosure documents
  • Liaising with other departments, investment professionals and regulatory agencies to identify issues and provide guidance/recommendation on compliance matters
  • Keeping abreast of changes in regulatory requirements in the U.S and addressing the impact on Oaktree’s operations
  • Maintaining the process of updating and revising the compliance manual when regulatory requirements change and policies and procedures are amended and enhanced
  • Providing training to relevant staff members on regulatory compliance topics and assisting with the creation of firm-wide on-line courses
  • Performing various other tasks and projects as necessary
  • Strong initiative and a self-starter with a proven ability to work with minimal supervision
  • Bachelor's Degree is required. JD a plus
  • 6-7 years relevant experience within the financial services industry, some exposure to investment advisor compliance practices is required
  • Strong knowledge of fixed income products and financial markets in general
  • Excellent understanding of compliance issues in the financial services industry
31

VP Director Regulatory Compliance Pb-fiduciary Resume Examples & Samples

  • Serves as a trusted business partner and advisor to Senior Management ensuring all regulatory/changes are followed
  • Minimum of a Bachelor’s degree in business, related field or equivalent experience; Master’s degree or Juris Doctorate (JD) preferred
  • Strong knowledge of assigned businesses, products, operations, systems and organization and full understanding of all significant regulatory compliance requirements applicable to the business. Proven ability to accomplish high-level objectives in the context of annual business and compliance plans
32

Regulatory Compliance & Anti Money Laundering Senior Manager Resume Examples & Samples

  • Lead AML engagements, which involve looking at a financial institution’s processes and advising on solutions around creating efficient process or improving existing processes
  • Manage the financial aspects of engagements by organizing staffing, tracking fees and communicating issues to project leaders
  • Advise clients on a variety of regulatory advisory and anti-money laundering services that help meet bank holding company and banking compliance requirements
  • Research emerging trends in regulatory guidance and anti-money laundering and best practices
  • Critically analyze policies, procedures, people, processes, and systems used by financial institutions to meet bank regulatory requirements and expectations
  • Design and implement quality, practical business approaches
  • Manage project delivery, including supervision of staff and preparation of high quality project reports
  • Participate in business development activities
  • Keep abreast of current industry and economic developments relevant to the client's business
  • Demonstrate high levels of technical and professional knowledge
  • A bachelor's degree and approximately 8+ years of related work experience; or a graduate degree
  • A degree (MBA or M.A. preferred)
  • Knowledge of anti-money laundering processes and reviews along with regulatory reporting and/or regulatory reporting software packages
  • Strong written and verbal communication skills for report writing and client presentations
  • Prior experience in consulting preferred
  • CAMS designation would be an asset
33

VP Director Regulatory Compliance Pb Fiduciary Resume Examples & Samples

  • Manages assigned specialized compliance functions for PB’s Fiduciary Activities
  • Minimum of 10 years proven and progressive financial services operations, compliance, and/or legal management experience or equivalent
  • Proficiency with personal computers, pertinent mainframe systems, and software packages
34

Regulatory Compliance Products Manager Resume Examples & Samples

  • Implementing best in practice standards, policies and procedures to govern regulatory compliance
  • Providing compliance advice on all aspects of regulatory compliance (Conduct of Business and Market Conduct)
  • Liaising with relevant stakeholders to provide expertise and support on all regulatory compliance related matters
  • Assisting with the implementation of programmes to address, manage and mitigate impacts of regulatory changes
  • Ensuring that consequences arising from regulatory compliance and reputational issues are properly managed, mitigated and reported
  • Reviewing and assisting in the effective deployment of the regulatory compliance assurance function
  • Assisting in the development and implementation of training programs for regulatory compliance globally
  • Practical experience of policy implementation and change activity
  • Advisory experience
  • Significant knowledge of Regulatory Compliance risks
  • Private Banking or Retail experience is desirable
35

Regulatory & Compliance Professional Resume Examples & Samples

  • Must be able to satisfy the requirements of Section 19 of the Federal Deposit Insurance Act
  • In order to be considered for this role, you must submit your application through www.gecareers.com
  • In order to be considered for this role in the United States, legal authorization to work in the United States is required. GE will not sponsor individuals for employment visas, now or in future, for this job opening
  • In order to be considered for this role, you must be willing to comply with pre-employment screening, including but not limited to drug testing, reference verification, and background check
  • In order to be considered for this role, you must be willing to travel occasionally
  • Previous experience in financial services/banking
  • Previous experience in commercial lending/leasing or investment businesses
  • Demonstrated knowledge/experience of compliance/regulatory issues in one or more relevant jurisdictions
  • Experience performing financial statement analysis, interpreting financial performance, financial modeling, valuations, assessing risk exposure, and portfolio management of (strategic) customer accounts
  • Knowledge of various finance products and structures including: loans, leases, partnerships, and equity investments
  • Strong interpersonal, communication (both written and verbal), and presentation skills
  • Ability to interact and influence at all levels and across functions within a matrix organization
  • Ability to effectively manage multiple tasks simultaneously
  • Committed and flexible team player
  • Self-starter with strong sense of urgency and detail
36

Regulatory Compliance Consultants Financial Services Risk Management Resume Examples & Samples

  • Provide a valued and substantial contribution to risk management engagements at banks, credit institutions and insurance companies
  • Work effectively as a team member sharing responsibility, providing support and maintaining communication
  • Contribute in solution and proposal development
37

Regulatory & Compliance Business Analyst Associate Resume Examples & Samples

  • Work closely with Sales and trading technology team to ensure that compliance functional requirements are understood and delivered
  • Assist in the creation of user training presentations. Provide status update to key stakeholders within business and technology
  • Ability to produce detailed functional specifications, use cases
  • Quick learner and be able to multi-task across multiple initiatives
  • Proactive independent thinker
  • Knowledge of FIX protocol is highly desirable
  • Knowledge in SQL is desirable but not mandatory
  • 4-10 years of experience in a BA/PM role
  • Previous experience in equity compliance BA role is desirable
38

Regulatory Compliance Registrations Analyst Resume Examples & Samples

  • With input from Business compliance / management determine which individuals will require registration with the UK FCA
  • Agree with Markets Compliance who will require registration with one or more of the UK or European stock exchanges
  • Manage FCA registrations process across all businesses
  • Maintain information in registrations database
  • Produce registration information reports
  • Assist in monitoring requirements for European wide exchange registrations
  • Administration/filing of related paperwork
  • Experience in office administration beneficial
  • Experience of working in a detail sensitive, pressurised, large service orientated organisational environment beneficial
  • Knowledge of Excel/other spreadsheet packages essential together with Word and Windows
  • The candidate must be able communicate clearly both oral and written
  • Teamwork is critical to the group and any candidate will need to display aptitude in this area
  • Willingness to learn new software systems
39

Senior Analyst, Regulatory & Compliance Risk Resume Examples & Samples

  • Bachelor's Degree in Business, Finance or related field. Master's Degree a plus
  • Minimum 5 years related experience working in Broker Dealer Operations and/or Compliance
  • Series 7, 99, 63, 65, 66, 9, 10 licenses desired
  • Ability to use logic and reasoning to identify the strengths and weaknesses of alternative solutions, conclusions or approaches to problems
  • Some travel by car and/or air in conjunction with local, regional and/or national travel, up to 20%
40

Head Regulatory Compliance Global Banking & Markets Resume Examples & Samples

  • Works with the RMA and the HSI Regulatory Update Committee to keep abreast of legislative changes in the US and assess and advise on their impact on the Compliance function and the Global Banking businesses
  • Strong background in bank and brokerage compliance within a financial services environment
  • Ability to understand, interpret and apply complex regulatory requirements to business practices
  • 15+ years Compliance experience
  • 5+ years of supervisor/management experience
  • Series 79 and 24 preferred
41

Senior Advisor Regulatory Compliance Regulatory Development Resume Examples & Samples

  • This role also needs to lead without authority and able to collaborate with multi stakeholders and deliver results. The role holder must be able to influence senior management and regulators by articulating clear business reasons for change initiatives
  • Bachelor’s degree in business, law, or related field or equivalent experience. LL.B or legal experience not required but considered an asset
  • Five to seven years proven and progressive financial services, compliance and/or legal experience or equivalent
  • Specialized knowledge of legislative compliance management programs as contemplated by OSFI Guideline E-13, legislation and regulatory directives relating to conduct, control of information, privacy, securities, financial crime relating as they apply to financial groups and extra-territorial laws applicable to Canadian financial groups such as Dodd Frank
  • Wide scope of knowledge and ability to review and understand complex regulatory regimes impacting a complex global financial group
  • Highly developed communications, negotiating, analytical, decision-making, organizational and planning skills
  • Wide scope of knowledge of financial institutions, including products, operations, systems and organization
  • Good understanding of all significant regulatory regimes applicable to Canadian financial institutions, a global financial group, and pertinent Group policies and external regulations
  • Knowledge & Experience / Qualifications (For the role – not the role holder. Minimum requirements of the role.)
42

Head of Regulatory Compliance Monitoring & Testing Resume Examples & Samples

  • The jobholder will be required to lead and manage a team of compliance monitoring and testing specialists covering all business lines. In order to meet regulatory expectations and to provide Senior Management with up to date information regarding standards of compliance with applicable rules, a key objective of the role, will be to ensure the annual compliance monitoring plan is delivered on time
  • Proven ability in leading a large team and strong people management
  • Excellent communication and inter-personal skills, with experience of dealing with executives at all levels including the capacity to articulate the case for risk management and policy in the language of business
  • Ability to support decisions with sound reasoning. Ability to clearly articulate business and regulatory implications of analysis and findings
  • Highly motivated self-starter with proven ability to work collaboratively within teams and to deliver on time
43

Regulatory Compliance Associate Resume Examples & Samples

  • Handle the receipt, response, and follow-up for regulatory inquiries associated with RBCCM
  • Field verbal and written inquiries from various regulatory agencies. This may also include investigations or exams initiated by regulatory agencies
  • Coordinate and/or conduct due diligence in connection with regulatory inquiries
  • Work closely with relevant subject matter experts and stakeholders throughout RBCCM to draft and prepare responses
  • Escalate and notify business units regarding findings and/or corrective actions required, as appropriate
  • Ensure proper and complete maintenance of books and records pertaining to RBCCM inquiries
  • Assess and report trends associated with inquiries and areas targeted by regulatory bodies to management
  • Identify, escalate and assist with summarizing regulatory issues for inclusion into enterprise reporting
  • Participate in regulatory audits
  • Special projects as assigned
  • Extensive and comprehensive regulatory knowledge and expertise (5+ year minimum)
  • Ability to interact with regulators
  • In-depth knowledge of broker dealer rules and regulations
44

Equities Regulatory & Compliance Resume Examples & Samples

  • Electronic Trading (Execution core components, Exchange Connectivity, Client on-boarding, DMA, Smart Order Routing - SoR, Algorithmic Trading, Data Analytics etc )
  • Risk Management and Structured products
  • Middle office Trade Booking and Regulatory
  • Masters or Bachelors in Computer Science with three to five years experience
  • Strong in Object Oriented Development and Java platform including experience with various developer productivity tools, debugging memory leaks and knowledge in latest enhancements in the platform
  • Experience with caches, multi-threaded design principles and concurrency
  • Experience with JMS and messaging infrastructures
  • Strong in database including writing complex SQL queries, PL/SQL programming, optimizing response time of queries and generating a wide range of reports
  • Strong 2+ years hands-on current experience in Java is a must for this role
  • Experience with Unix/Linux and shell scripting
45

Regulatory Compliance Advisor Resume Examples & Samples

  • Providing day-to-day advisory support to Operations & Technology regarding the firm's policies and regulations including
  • Triaging workflow emails/calls
  • Ad hoc requests
  • Assisting in performing a trending analysis of incident data impacting regulatory reporting functions
  • Assisting in designing a compliance dashboard (contributing towards Compliance Monitoring Program risk assessment)
  • EMEA complaints logging
  • Collating clearing Rule Books
  • Assisting in client money reviews
  • EMIR registration and de-registration process
  • Assisting in writing policies to reflect regulatory developments, such as EMIR and MIFID
  • Previous regulatory advisory experience - Investment Banking experience is advantageous
  • Good knowledge of regulations including; EMIR and MIFID
  • Ability to communicate effectively with SMES and other senior stakeholders
46

Senior Manager Conduct Risk & Regulatory Compliance Resume Examples & Samples

  • To execute day-to-day control and monitoring related activities (focusing on Operational Risk, Compliance and Conduct)
  • Direct activity in the Business Unit to establish a suitable Product Governance framework and proactive risk aware culture
  • Support and advise the Products & Marketing Business Unit in ensuring that products are designed and priced appropriately and deliver consistently fair customer outcomes
  • Support the Annual Product Reviews to ensure that products remain fit for purpose and continue to deliver appropriate outcomes throughout the product lifecycle
  • Support and advise the Products & Marketing BU in ensuring that sales processes are designed in a way that consistently delivers fair customer outcomes
  • Ensure that the Products & Marketing Business Units comply with all relevant regulatory and legislative requirements relating to product design, sales processes and financial promotions), and to ensure that the impact of regulatory and legislative change on the business is fully considered
  • Undertaking and Supervising Remedial Action Plans / Issue Management
  • Ensure that any Conduct Risk control weaknesses and any legislative and/or regulatory breaches relating to product design, pricing, sales process and/or financial promotions are appropriately and promptly addressed
  • Build strong productive relationships at all levels across the Business Unit, with partner business units and with Risk and Audit functions
47

Team Lead-account Taxes & Regulatory Compliance Resume Examples & Samples

  • 5 to 7 years of related experience
  • Solid knowledge of standard desktop applications used by the business unit
  • Solid knowledge and understanding of the business unit’s key products and services, processes and controls
  • Solid understanding of the business unit’s risk and regulatory requirements
  • Solid understanding of internal business partner’s business, services and organization
  • Solid knowledge of resource scheduling
  • Strong investigation skills
  • Strong prioritization skills
  • Strong customer service and relationship management skills
  • Strong coaching, mentoring and training skills
  • Strong conflict management/ resolution skills
  • Strong change leadership skills
48

Director Compliance Regulatory Compliance Management Resume Examples & Samples

  • He/she is an active member of the management team and will provide counsel and direction on strategic decisions relating to the RCM program. This role requires active and ongoing relationship management within the business line with key stakeholders
  • Lead engagements with Scotiabank’s Business/Global Compliance Units and other internal/external RCM Stakeholders to identify industry best practices, capture Scotiabank-specific requirements, define enterprise standards and create common RCM processes
  • Develop and implement RCM Program functionalities that will
  • Define monitoring and testing requirements including risk-based criteria and documentation standards; and
  • Identify and track regulatory compliance issues through remediation/action plans and archive resolution details
  • Design and deploy concise, near real time, reader-friendly reports that support the operational needs of Scotiabank’s Business/Compliance Units as well as the strategic needs of Scotiabank’s Senior Executive and Board of Directors
  • Develop the training model, delivery system and educational material to provide current and comprehensive information about Scotiabank’s RCM Program and the enterprise standards/processes that support the RCM technology-based RCM. Training will be deployed to all new users. Training will also update existing users in relation to new functionalities and enhancements
  • Manage multidisciplinary sub-projects through planning, solution development and global implementation
  • Maintain the integrity and consistency of the standardized taxonomies, libraries and analytical frameworks upon which the RCM system relies for the effective collection, aggregation and reporting of compliance information
  • Develop and execute the quality assurance mandate to ensure Scotiabank’s continuing compliance with OSFI’s RCM Program obligations and with changing regulatory obligations in all the jurisdictions in which Scotiabank operates
  • A minimum of ten years’ progressive financial industry, professional services or legal experience in compliance, audit, risk, operations, shared services or a related field
  • Sufficient familiarity with technology to recognize opportunities to enhance processes or achieve operational efficiencies
  • Operate independently on a day-to-day basis. Direction is often received only at the most conceptual level
  • Superior communication and presentation skills
49

AVP Financial Crime Compliance & Regulatory Compliance Resume Examples & Samples

  • This position is found in the following compliance function(s)
  • Ensures compliance for assigned line of business and directs the work of assigned Compliance staff. Makes high level compliance decisions affecting areas of responsibility
  • Experience in developing and implementing compliance policies, programs, and procedures
50

Regulatory Compliance Resume Examples & Samples

  • This is a new role in a recently formed team, so the role holder must be able to work comfortably within a fluid and developing framework
  • The role holder is expected to work openly and collaboratively with their line management and team colleagues. The role holder will interact with key stakeholder teams (internal and external to RC) at group level
  • The role holder must be able to drive through solutions to successful conclusion and to ensure that risks are being properly managed
  • The role holder will be subject to sensitive information and must exercise sound judgement in protecting it and must adhere to all relevant rules and regulations
  • Regulatory Compliance and Operational Risk management covering a wider range of business areas
  • Current regulatory risk management and appetite methodologies and trends
  • Successful implementation of change across mulitple teams and locations
  • Process analysis and proble-solving
  • The changing regulatory environment and expectations, interpretation of FCA and other significant regulators' rules and guidance together with other relevant regulations, codes and companies Group Standards
  • Proven written and verbal communication skills and attention to detail
  • Ability to develop subject matter expertise in complex areas
  • Good organisational skills ideally with project management experience
  • The ability to quickly identify solutions to complex problems
  • Strong team player with leadership potential
  • Highly motivated, robust and accountable
51

SVP HR Regulatory Compliance Liaison Resume Examples & Samples

  • Regular interactions with U.S. regulators and Senior Executive Management
  • The amount of supervision required for this position will vary, as the position is somewhat autonomous. The incumbent is expected to work within overall guidelines and time frames making deadlines set forth
  • Travel required as appropriate
  • This position requires an individual with
  • Minimum of a Bachelor’s degree in human resources, management, finance, economics, related field or equivalent experience; Master’s Degree preferred
  • Extreme attention to detail, accuracy, organization and follow-up as well as delivery of commitments and deadlines
  • Working knowledge of business/function supported as well as pertinent operational risk policies and regulations
  • Exposure to an operations and a control environment, such as audit or compliance or compliance area
  • Strong communications, human relations, diplomatic, organizational, problem-solving, planning, project management, analytical, lateral thinking and financial planning skills
  • In-depth knowledge of the organization, culture and strategic direction, including related Group programs
  • Absolute commitment to confidentiality; passion for data integrity and accuracy in all matters
  • Proficiency with personal computers as well as pertinent mainframe systems and software packages
52

CIB AVP / Officer, Regulatory Compliance Resume Examples & Samples

  • 1-3+ years of regulatory compliance experience
  • Prior experience in a U.S. office of a foreign bank would be welcomed
  • Prior experience at a U.S. holding company level or at a U.S. broker-dealer or investment advisor subsidiary of a foreign bank would also be welcomed
  • Detail-oriented and thorough
  • Strong interpersonal and communications skills required
  • Microsoft Office required
53

Regulatory Compliance & Assurance Subject Matter Expert Resume Examples & Samples

  • Assistance in preparing reports to internal stakeholders and governance forums
  • Providing guidance and advise to internal stakeholders on external auditor approach, requests and results of testing, including any issues reported and identification of compensating measures
  • Ownership of receiving, logging and tracking evidence and other requests from external auditors
  • Coordinating the collection of audit evidence within required timeframes and ensuring that security of information requirements are adhered; and
  • Assisting with other regulatory notices and remediation demands
  • Previous audit experience Financial Services is essential
  • Experience of working on a large scale regulatory remediation engagement is an advantage
  • Strong organizational and communication skills is essential
  • Ability to work on own initiative and manage deliverables across multiple teams under aggressive time frames; and
  • Knowledge of regulatory conduct and IB requirements is advantageous
54

Regulatory Compliance Business Integration Manager Resume Examples & Samples

  • Ensure compliance risk controls are established and effectively deployed in accordance with HSBC and regulatory standards and policies in order to optimize our relations with our regulators and minimize our operational losses
  • Facilitate the identification, communication, and implementation of key initiatives against strategic compliance sponsored programs across the global functions and global lines of business, in accordance with Global Risk strategy
  • Assist RCOs and RC leadership with the implementation of business and strategic planning exercises
  • Assist in RC leadership in balancing the risk management and investment requirements against strategic and financial objectives
  • Assist RCOs in the assessment of compliance risks and the operating effectiveness of key controls acceptable to the scale and nature of HSBC's operations
  • Coordinating, collating, and evaluating critical MI and production/performance metrics
  • Driving the US RC program toward achieving Target Operating Models and any associated maintenance and updating of core models
  • Assist management in delivering against annual AOP objectives
  • Some knowledge in relationship to Regulatory Compliance activities and Risk Management concepts and design
  • Experience in project planning, project management and/or business analytics
  • Knowledge in quality assurance and basic documentation standards within a risk management context
  • Basic awareness and understanding of internal controls and operational risk
  • Demonstrated ability in delivering performance and/or process improvements, successfully applying innovative thinking
  • Strategic vision
  • Excellent collaboration skills - ability to effectively work across multiple stakeholder groups within an organization
  • Strong leadership and motivational skills
  • Good business and commercial awareness
  • Proactive and resilient in a dynamic and constantly changing work environment
55

AVP Regulatory Compliance Management Testing & Control Resume Examples & Samples

  • The job holder is expected to lead the development and management of assurance activities to ensure the Bank complies with OSFI’s E-13 guidelines with minimal guidance. When unsure, guidance would be sought from Canada Head of RC Risk & Strategy
  • The jobholder is expected to act pro-actively and generate ideas for enhancements to the team's activities
  • The individual should have the ability to quickly assess information through analysis and knowledge of business structure as well as showing leadership in an unstructured environment and keeping up-to-date with changes in the HSBC Group
56

Head of Regulatory Compliance Risk & Strategy Resume Examples & Samples

  • Management of External and Internal Reporting Regimes
  • Leadership and Oversight of RC Strategic Annual Plan and Quarterly Update Execution for Canada– to include top risk priorities, resourcing, staffing, budget
  • Holistic oversight and management of all RC external exams and internal audits
  • Ensure appropriate RC Governance and connectivity of all RC functions, including shared services activities
  • Develop and drive the implementation and imbedding of the RCM Enterprise-Wide Framework, E-13 Testing & Control, and Risk Strategy teams and support the Head of RC in Canada in implementing Group Regulatory Compliance Strategy
  • Oversee implementation of RC policies
  • Oversee Executive Reporting and accurate delivery of KPI’s and KRI’s produced by the shared services MI and DG team
  • The job holder is expected to make decisions independently and interact with key external and internal stakeholders at a very senior level, regularly stepping up to the role of the Head of RC or acting in his/her capacity
  • 10 plus years of Regulatory Compliance experience in relevant industries, with strong background in Risk & Strategy management and oversight
57

AVP Regulatory Compliance Resume Examples & Samples

  • Minimum of 8 years of proven and progressive Retail Banking and/or Wealth Management experience, compliance and/or legal management experience
  • Minimum of a Bachelor degree in business, Master’s degree and/or Juris Doctorate (JD) preferred
  • Wide scope of knowledge of RBWM businesses, including products, operations, systems and organization contributing to the ability to develop practical, cost effective solutions to complex issues
  • Full understanding of all significant regulatory compliance requirements applicable to RBWM businesses (Bank Act, Securities Commissions regulations as well as SROs rules)
  • Experience in dealing with regulatory matters and confident interaction with Regulators
  • Experience in developing and implementing compliance policies, programs, and procedures, paired with experience in dealing with executives at all levels including the capacity to articulate the case for risk management and policy in the language of business
  • Well-developed managerial, communications, negotiations, analytical, organizational, project management and strategic and/or operational planning skills
  • Must be an effective overall leader with excellent communications skills, a professional management style, and a track record of leading through change
  • Ability to lead change in RBWM Canada contributing to joining up with the other teams in Risk and Business globally
  • Ability to "connect the dots" and critically analyze situations, recommend effective solutions to problems and identify or anticipate regulatory concerns
  • Demonstrates ownership of topics and actively protects HSBC's reputation
58

Regulatory Compliance Coordinator Resume Examples & Samples

  • Resolve pending issues delaying Customs Clearance of cargo
  • Up keep of C-TPAT program and continued training of UA employees and supply chain
  • 2+ years of related experience (preferably in apparel/footwear business)
  • Familiarity with international shipping and manufacturing processes
  • Ability to communicate with individuals at all levels of the organization
  • Knowledge of a variety of software programs (specifically MS Office)
59

Senior Regulatory Compliance Associate Resume Examples & Samples

  • 4-6 years of Buy Side experience
  • Highly organized, detail-oriented and analytical
  • Strong understanding of the investment management industry
  • Solid understanding of US and international securities laws applicable to private funds, including the Investment Advisers Act of 1940, the Commodity Exchange Act, the Investment Company Act of 1940 and ERISA
60

Risk Governance Regulatory Compliance Market Risk VP Resume Examples & Samples

  • Identifying and interpreting new regulation including ensuring alignment with the Firm’s risk management framework
  • Coordinating Firm’s responses to Consultation Papers and evolving new regulation
  • Advisory role across risk management
  • Business knowledge of capital markets (sales and trading)
  • Prior experience in risk management or internal audit within a wholesale financial services environment
  • Experience with IMA regulatory applications/submissions
  • Strong organization skills with the ability to multitask and prioritise; ability to tight deadlines
61

Risk Governance Regulatory Compliance Associate Resume Examples & Samples

  • Developing a compliance framework for regulatory rules
  • Independent Validation – independently validating self-assessment of regulatory rules applicable to risk management and implementation of new rules
  • Excellent understanding of banking regulation, especially relating to risk management
  • Ability to work in a small team environment, building and maintain a network of contacts and coordinating with a large number of internal clients
62

Manager Financial Crime Compliance & Regulatory Compliance Resume Examples & Samples

  • Global Service Centres
  • Customer Service Centres
  • Complaints
  • IT / technology
63

PWM Regulatory Compliance Resume Examples & Samples

  • Be responsible for in developing the framework for distribution of products to the clients
  • Liaise with other stakeholders, i.e. Legal and Compliance functions on regulatory and client issues
  • Have at least 5 years of relevant experience in a similar function
  • Have good experience and knowledge of the private banking products and operational flow of products
64

Head of Regulatory Compliance Conduct Risk Resume Examples & Samples

  • The jobholder is required to work with considerable autonomy, dealing with major issues for which there is no clear cut solution while still being able to provide judgement and clear direction. Where items of major consequence are involved, reference is made to GHCC and Head of RC Canada. The nature of the role requires close working contact with senior management in Regulatory Compliance and across the Group
  • May provide compliance support, advice, and guidance to the GBM Global Markets businesses in connection with Volcker Rule and swap dealing activities of the Dodd-Frank Act as it applies to each area of Compliance coverage. Ensuring that Conduct Risk rules and regulations applicable to HSBC Bank Canada will be considered and their requirements incorporated in the Compliance officer’s overall day to day job responsibilities. This includes, but is not limited to, updating policies and procedures, line of business reviews, training, surveillance, registration obligations, regulatory reporting and risk assessments, and escalation of any potential issues of non-compliance to the Head of RC Canada
  • Seasoned professional with experience in one or more senior risk compliance roles, ideally to include Regulatory Compliance experience
  • Significant knowledge of Conduct regulations and be able to provide effective and timely guidance
  • Significant knowledge of the HSBC Group structure, its business and personnel, and a deep understanding of HSBC’s corporate culture
  • Significant experience in the financial services industry, through a minimum of 10 years experience, is preferred
  • Well developed effective, leadership skills
  • Effective communicator with strong inter-personal and influencing skills
65

Regulatory Compliance Advisory Resume Examples & Samples

  • Have at least 3-5 years of solid regulatory compliance experience with an SFC regulated Financial Institution
  • Good understanding of the buyside / asset management / funds industry
  • Have a can-do attitude, excellent time management skills and client servicing mindset
66

Regulatory Compliance Coordinator Resume Examples & Samples

  • Preparation of Export Invoices
  • Monthly KPI and financial reporting to Senior Leadership
  • Ability to analyze monthly duty spend
  • Ability to apply product classification for footwear; apparel; accessory product types
  • Maintenance of Import Compliance manual and coordinating SOP’s
  • Post entry audits of Customs entries
  • Responsible for maintaining documents for correct record keeping and compliance
  • Responsible for keeping knowledge up to date on Trade Agreements, Trade Compliance and other complexities of International Trade
  • Answering internal customer inquiries
67

Regulatory Compliance Executive Officer Resume Examples & Samples

  • Developing and leading the RC Canada People Management Strategy including Resourcing, Talent framework, performance management, succession planning, career development plans, annual review alignment for RC within the approved Blueprint, and strategic People Development initiatives locally
  • Leading the strategic development and monitoring of the Annual Operating Plan for RC Canada and supporting the implementation
  • Ensuring RC change programs and Tareget Operating Model is understood and implemented in a consistent and robust manner, including leveraging the shared services model with Financial Crime Compliance
  • Ensuring effective management of RC resourcing, staffing, and expense levels
  • Managing and accountable for all RC external exams and internal audits. The RC Chief of Staff will be the point person to the regulators, examiners and audit representatives audits
  • Leading communications to Regulatory Compliance staff in line with Local/Group Communications
  • Managing projects and exercising critical judgment around project execution, cutting across all business lines and regions
  • Coordinating the half yearly compliance certificates
  • The job holder is expected to make decisions independently and interact with key external and internal stakeholders at a very senior level, regularly stepping up to the OIC role for the Head of RC and/or acting in his/her capacity
  • Minimum of a Bachelor degree in business, Master’s degree and/or Juris Doctorate (JD) preferred
  • Strong experience contributing to the ability to develop and lead a People Management Strategy including Resourcing, Talent framework, performance management, rewards/recognition philosophy, and strategic People Development initiatives
  • Established background in HR, Operations, and/or Business Planning
  • Successful management of transformation or enhancement programs
  • Knowledge of Compliance and/or relevant Audit / Risk experience covering a wide range of business areas
  • An overall understanding of key current regulatory environment/change initiatives and their impacts on the business from a resourcing, financial, and operational perspective
  • Strong interpersonal skills with the ability to communicate effectively with Senior Management
68

Senior Manager Brcm-regulatory Compliance Resume Examples & Samples

  • Identifying and reporting incidents in accordance with HSBC standards
  • Develop and provide management information to business/function management and risk committees; may include material operational risks, internal control monitoring results, significant internal control issues, and/or BRCM activities
  • Support assessment of operational risk in material projects and initiatives; assure adequate mitigation
  • Vendor: Direct, along with Contract Owners, risk and control management of third party vendors and sub-contracting arrangements, including identifying, assessing, and managing vendor risks and controls, complying with laws, regulations and internal standards, monitoring of performance and defined SLAs, and maintaining exit strategies
  • Information Security: Manage, along with Business Information Risk Officer, information security risk through the implementation of primary and secondary controls to mitigate the risk, identifying information assets and associated risks, and ensuring information security awareness of employees in business/function
  • Privacy: Manage the assessment and mitigation of privacy risk, including customer disclosure and access that is compliant with laws and internal requirements, implementation of information security controls for repositories and processes containing personally identifiable information, considering impact of privacy matters on projects and initiatives in area of responsibility
  • Build relationships and interact with North America ORIC team and other ‘second line of defense’ teams, Global BRCM, and others for operational risk and internal control matters
  • OIC for Head of BRCM
69

Risk Governance Regulatory Compliance Resume Examples & Samples

  • Bachelor degree or equivalent, ideally in Finance, Economics or similar
  • Confidence to take ideas forward and to challenge others, where appropriate
  • Experience in dealing with regulators / regulatory issues
  • Excellent communication skills, both verbal and written; ability to produce concise and effective presentations
  • Experience in management by influence, facilitating and gaining consensus
70

Regulatory Compliance AVP Resume Examples & Samples

  • Communicate with regulators providing filing documents spanning all entities within the business
  • Maintain and arrange internal systems related to major regulatory entities ie. FSA and BOJ
  • Play key roles in ad-hoc Regulatory filing projects
  • Organize and arrange periodic meetings surrounding Regulatory Information and Updates for the business
  • Co-ordination and implementation of global policies and procedures
  • Strong attention to detail and capable of multi-tasking in a fast-paced environment
  • Great communication skills in oral and written
  • Ability to prioritize and meet deadlines in a timely manner
  • Experience with compliance or regulatory inspections
  • Project management skills highly recommended
71

Regulatory Compliance Supervisor Resume Examples & Samples

  • B.S. or B.A. in accounting
  • Minimum 5 -7 years of financial services industry experience; 3 years experience with SEA rules 15c3-1, 15c3-3 and 17a-5 a plus
  • Series 27 required, Series 7 a plus
  • Proficient in Microsoft Outlook and Micrsoft Office Suite; Extensive experience with Microsoft Excel. Preferred experience with Microsoft Access. Preferred experience with Sage 500 general ledger system
  • Experience in educating firm staff on the FRRs. Experience in assisting or leading regulatory exams. Preferred experience with assisting or leading FINRA exams
  • Ability to collaborate with various business units with the goal of achieving cross divisional education on the FRRs. Ability to understand new business areas quickly
  • Provide timely problem solving, evaluating issues/processes and providing feedback or recommending process improvements
  • Extensive knowledge and application of SEA Rules 15c3-1, 15c3-3 and 17a-5 from both a financial and operational perspective
  • Ability to work in a dynamic and fast-paced environment with minimal supervision
72

Director Regulatory Compliance Resume Examples & Samples

  • Provides general compliance support for a significant risk category/business under CMB. Under the guidance of the Director Specialized Compliance, supports advisement on regulatory matters; monitors business unit compliance programs and ensures an effective system of internal controls are developed and maintained. Researches laws and regulations regarding operating procedures for new products and product enhancements to ensure compliance with all applicable federal laws and regulations. Researches and resolves items of concern identified through standard activity monitoring and conducts targeted reviews of specific areas of high risk or complexity
  • Manages compliance functions in support of domestic and international private banking businesses, ensuring adherence to banking and credit regulations. Maintain awareness of regulatory developments affecting the private banking business and advise line management on the implementation of compliant policies and procedures. Responsible for compliance reports, special compliance reviews, projects and training efforts, as required. Responsible for carrying out projects with regulatory or substantial business impact. May be responsible for compliance discipline or staff development as well
  • Proficiency with personal computers and pertinent mainframe systems and software packages
73

Senior Manager Financial Crime Compliance & Regulatory Compliance Monitoring & Testing Governance Resume Examples & Samples

  • The Monitoring team undertakes the compliance risk assessment and risk-based compliance monitoring (Regulatory Compliance and Financial Crime Compliance) on the all the Bank’s Canadian activities. A Central team provides quality assurance, MI and management information for the team. This role holder will provide the same activities for all the Business Lines, essentially in Canada
  • A key objective of this role will be facilitating the Monitoring team’s delivery of high quality risk-based monitoring and its reporting to the business, keeping all reports consistent with global standards
  • The job holder will also be expected to instruct and direct other members of the team and make independent decisions based on their knowledge and experience which can be backed up by sound reasoning
  • Ongoing need to seek and implement efficiency improvements and enhancements to Monitoring processes and procedures, in conjunction with the Retail business lines
  • Good working knowledge of Canadian regulatory & fincancial crime requirements and risk-based monitoring techniques
  • Understanding of HSBC governance, risk management and control frameworks
  • Varied business and regulatory experience, the latter acquired via Compliance roles and/ or time with a regulator
  • Excellent planning and prioritization skills are essential
  • Effective and concise verbal and written communication skills
  • Lateral, creative thinker with good problem solving and analytical skills
  • A proven track record of quickly acquiring new skills and expertise
  • Understanding of the types of services and products offered by the business lines
74

Wealth Regulatory Compliance Resume Examples & Samples

  • Advise clients on a variety of regulatory advisory services in the wealth management space that help meet banking compliance requirements
  • Research emerging trends, regulatory guidance, and best practices
  • Actively participate in engagement planning and business development
  • Work within teams to provide valuable insight and high-impact solutions to client issues
  • Develop, maintain and strengthen client relationships
  • Participate in the development of industry thought leadership
  • Coach and mentor staff. Foster and innovative and team-oriented work environment
  • Display teamwork, integrity and leadership
  • A bachelor's degree and approximately 5 years of related work experience; or a graduate degree (MBA or M.A. preferred)
  • Knowledge of regulatory reporting and/or regulatory reporting software packages, as well as bank compliance practices
  • Experience with the design, development and implementation of internal controls for financial services business processes a plus
  • Analytical skills; specifically, the ability to assess and decompose financial services industry processes utilizing a risk and control focus
  • Effective leadership, project management and teamwork skills
75

Regulatory Compliance Monitoring & Testing Risk Strategy Resume Examples & Samples

  • Works with testing teams and business managers to identify systems-needed sources of data for testing
  • Creates business process flows and performs analysis to identify data integrity weaknesses
  • Some U.S. domestic travel may be required
  • Minimum of five to seven years proven and progressive financial services audit, operations, and/or compliance experience or equivalent, preferably in a large bank environment
  • Bachelor’s degree in business, finance, related field or equivalent experience
  • Strong communications, analytical, interpersonal, organizational, and planning skills
  • Working knowledge of assigned businesses, products, operations, systems and organization and understanding of all significant regulatory compliance requirements applicable to the business
  • Understanding of operational risk and associated business workflows
  • Sound understanding of automated tools and techniques including DBMS, Excel, and data analytical tools including ACL and spotfire
  • Experience with forensic data testing, design, and interpreting data queries
  • Strong understanding of banking systems, databases and banking products
  • Depending on the role, required professional certification (e.g., CAMS, CISA, CRCM, CCRP, CIA, CFSA, CPA, etc.) is desired
76

Regulatory & Compliance Manger Resume Examples & Samples

  • Key role in the design of an appropriate Regulatory & Operational Risk Control Framework for this firm in line with the Risk Management framework
  • Short term focus will include CRE, Residential Mortgage, Data Protection and AML, with potential longer term focus incorporating lending and servicing of other asset classes
  • Co-ordinate with other team members to ensure implementation of control risk standards, development of policies and appropriate process controls to ensure control standards are consistently applied
  • Provide on-going and objective oversight of firm activities with a view to detecting potential risks and non-compliant activity at the earliest possible stage. Specific attention to policy compliance, functional governance and regulatory standards
  • Develop and implement communication plan and outcome tracking to ensure that all key leaders and functional groups are fully aware of all governance activities and expected compliance standards
  • Execute appropriate controls on 3rd party vendors and/or sub-processors on a regular basis to assess execution of agreed SLA, Code of Conduct and other related policies, for example data privacy and IT security etc
  • Development of Regulatory & Operational Risk Policy
  • Annual documented risk assessment and plan, reviewed and updated as required
  • Identification and mitigation of regulatory and operational risk issues supported by documented testing and monitoring
  • Monitoring and tracking adherence to Annual Compliance Plan
77

Senior Regulatory Compliance Resume Examples & Samples

  • Lead and manage entire Compliance team within securities
  • Communicate and resolve regulatory enquiries from external stakeholders ie. FSA
  • Co-ordinate extensively with whole business (front, middle, back) on any compliance related issues
  • Create reports for onshore department and internal departments in overseas counterparties
  • Work closely with clients in review of documents
  • Organize training sessions
  • Ensure proper monitoring of infrastructure
  • Manage issues and run compliance related projects
  • Up to 5 years experience related to Compliance
  • Up to 8 years experience in financial services
  • Good understanding of FX and futures markets
  • FSDA qualification for internal control
  • Great communication and presentation skills
  • Excellent PC skills using Microsoft (Word, Excel) and Lotus Notes etc
78

Regulatory Compliance Counsel Resume Examples & Samples

  • Management and oversight of onsite regulatory examinations
  • Identification, gathering, organization and coordination of production of documents
  • Regular interaction with regulatory personnel
  • Working closely with UBS employees throughout the firm
  • Identify and escalate issues posing potential regulatory risk
  • Drafting written responses
  • Handling multiple matters simultaneously
  • This role will also be responsible for assisting with the management of surveys
  • Assist with the process for regulatory reporting obligations of Regulatory Compliance
  • Work closely with business and compliance personnel to formulate remedial actions and drive their implementation
  • Track/monitor the implementation of remedial actions
  • Create and distribute internal reports relating to pending regulatory matters
  • Manage and oversee special projects
  • Previous experience handling regulatory examinations
79

Regulatory Compliance Associate Resume Examples & Samples

  • Provide advisory and guidance services relating to compliance to all business aspects including front office and securities
  • Responsible for compliance monitoring and implementation
  • Creation and execution of compliance trainings
  • Communication with senior stakeholders and reporting
  • Documentation and client reviews
  • Interface with regulators and take part in on-sight/off-sight inspections
  • Banking or securities experience, but open to corporate work experience or equivalent knowledge and skills
  • Compliance experience within financial institutions or non-financial institutions
  • JSDA qualification for internal control
  • Excellent PC skills using Microsoft (Word, Excel)
  • Basic legal knowledge especially securities related
80

AVP Financial Crime Compliance & Regulatory Compliance Commercial Banking Advisory Resume Examples & Samples

  • This position is only to be used in areas where the organizational structure has (Senior) Managers reporting into a level between the (Senior) Manager and Director
  • Positions designated as “general compliance” are typically focused on one or more major lines of businesses within the Company (i.e. RBWM - Consumer Lending, Retail & Commercial Banking, Card Services. CMB - Commercial Banking, Payments & Cash Management, etc.). Many of the businesses entail a high degree of regulatory compliance and reputational risk, particularly with respect to risks arising out of non-compliance with extensive and complex regulations. Failure to comply with these regulations would have significant negative effects on relations with regulators, the reputation of the Company with the public and may result in regulatory impediments to mergers and acquisitions and significant regulatory sanctions, including regulatory fines of material amounts
  • The position directs compliance activities for the largest and/or most complex businesses in North America and is considered a senior compliance position within the business unit and/or function
  • RBWM - Card Services etc . CMB - Global Trade & Receivables Financing and Payment & Cash Management etc
  • Consumer Lending
  • Minimum of ten years proven and progressive financial services operations, compliance and/or legal management experience or equivalent
  • Bachelor’s degree in business, related field or equivalent experience; Master’s degree preferred
81

Manager of Regulatory Compliance Management Resume Examples & Samples

  • Assist with management of implementation of the WM RCM, and its update. The RBC WM Canada business units include: RBC Dominion Securities, PH & N Investment Counsel, RBC WM Financial Services and Royal Trust
  • Coordinate with global partners to ensure consistency of RCM across regions and platforms, as necessary
  • Review regulatory changes and coordinate applicable risk assessments, monitoring and testing
  • Coordinate regular risk assessments of the relevant business units
  • Document controls and mitigation efforts relating to regulatory requirements and risks
  • Document and (as needed) coordinate reporting on control and mitigation efforts
  • Draft, review, and update policies and procedures
  • Undertake special projects as necessary
  • Minimum three years wealth management compliance experience or equivalent in legal or industry global counterparts
  • Ability to manage projects and collaborate effectively
  • Understanding of wealth management compliance issues
  • Familiarity with IIROC rules
  • Undergraduate degree (B. Comm., B.Sc., B.A.) or law degree
  • Completed securities industry courses, such as Canadian Securities Couse, as asset
  • Project management experience an asset
82

Senior Manager Financial Crime Compliance & Regulatory Compliance Resume Examples & Samples

  • The job holder will report to the Head of RC & FCC HIDC and will have accountability for ongoing management and oversight of the FCC and RC Surveillance function within HIDC Compliance
  • Minimum 6 -10 years of Compliance, Legal, Global Functions and/or Regulatory experience
  • Industry related continuing education, including but not limited to CAMS and the Securities Courses (i.e. CSC, CPH, Traders Training Course, Derivatives Course)
  • Strong communication and influencing skills – both verbal and written
  • Operates effectively across cultures and in multi-cultural diverse work environments
83

Regulatory Compliance Resume Examples & Samples

  • Responsible for implementation of controls as First Line of Defence including risk based monitoring / testing etc
  • Coverage includes all global Lines of Business, Global Functions and HOST target
  • Work extensively across APAC region teams to communicate and co-ordinate compliance initiatives
  • Perform risk based planning and analysis
  • Participate in ad hoc projects whether locally or regionally
  • Good understanding of legal knowledge related to financial law (Banking Act, Financial Instructions and Exchange Law etc.)
  • Proficient at MS computer knowledge (MS Word, Excel etc.)
  • Great communication skills to properly convey monitoring / testing results to target destinations
  • Native level Japanese, fluent in English
  • Previous experience in AML / Sanctions compliance or equivalent knowledge and skills in financial institutions or others
  • Basic knowledge of accounting and tax or ACAMS license
  • Compliance experience outside of financial institutions
84

Regulatory Compliance Resume Examples & Samples

  • Full and deep analysis of all Internal Control regulatory requirements set for in different applicable regulations and policies for GFB and Subsidiaries to evaluate adequate compliance
  • Participate in Franchise Reviews and other initiatives and projects from the OGC
  • Support in the design and implementation of the Internal Control Manual of GFB and those for subsidiaries with
  • Graduate or Post-Graduate
  • Work Experience: 10 years
  • At least 3+ years of experience in successfully managing Compliance programs through the full project lifecycle, from conception through rollout and ongoing support
  • Industry and relevant Compliance or Control knowledge is required
  • Financial services industry experience a plus
  • Financial and/or management reporting experience
  • Strong knowledge and broader use of MS Office including, Project and Visio
  • Bachelor’s Degree. A Lawyer desirable
  • Fluent in English and Spanish
85

Regulatory Compliance Consultant Resume Examples & Samples

  • Bachelor’s Degree in Pharmacy or PharmD
  • Experience with laws, rules, and regulations for the Practice of Pharmacy
  • Current Pharmacist License, active and in good standing
  • Demonstrated comprehensive, in depth knowledge, of regulatory requirements, with ability to interpret standards and implement processes accordingly
  • Knowledge of current regulations as it pertains to Pharmacy and Wholesale
  • Have prior background working in a compliance related area
  • Ability to quickly develop strong professional working relationships internally and externally
  • Expertise in working collaboratively and communicating with staff in different positions and all levels of management positions
  • Excellent computer skills including Microsoft Word, Outlook, Power Point and Excel
  • Experience interacting with state and federal agencies
86

AVP Regulatory Compliance Global Banking & Markets Resume Examples & Samples

  • Existing experience of working in a business facing Regulatory Compliance or legal function
  • Experience of working in an investment bank’s Control Room would be useful
  • Knowledge of B&CF business (Coverage, DCM, ECM, PEF, PCM, Mergers & Acquisitions), including products, operations, systems and organization
  • Experience of dealing with regulatory matters and confident interaction with Regulators
  • Experience of working for a large international organization preferred
87

Head of Regulatory Compliance Resume Examples & Samples

  • Functional Manager: Americas Head of GBM Regulatory Compliance
  • A minimum of 15 years’ experience in the financial industry with a minimum of 7 years in a Regulatory Compliance or Legal role with an Investment Bank or Dealer
  • Minimum of a Bachelor’s degree in a related field or equivalent experience
  • A solid understanding of applicable Canadian regulations including IIROC rules and a subject matter expert with respect to compliance with trade execution, order exposure and marketplace requirements
  • A good understanding of the GBM / investment banking businesses, including products, operations, systems, organization and the typical regulatory risks within. Business knowledge should include an understanding of: Markets Sales & Trading activities and Fixed Income, Currency and Commodities (“FICC”) products; Banking Client Coverage and; Capital Financing (DCM, ECM and PEF)
  • Ability to develop practical, cost effective solutions to complex issues
  • Experience of creating, leading and motivating a team
  • Experience of working within a matrix environment preferred including reporting internationally
  • Knowledge of foreign regulation with extra-territorial applicability (e.g. Dodd Frank Act, US SEC 15a6, MiFID, EMIR) advantageous
  • Ability to lead change in Canada, contributing to joining up with the other teams in Risk and Business globally
88

Regulatory Compliance Assurance Manager Resume Examples & Samples

  • Manages and fulfills on a timely basis a schedule of reviews of certain U.S. Compliance functions, in accordance with the Compliance Functional Instruction Manual (“FIM”), Sections B2.1.3, and CRMP Manual as directed by the Head of the department. Instructs and directs other members of the team and makes decisions based on knowledge and experience on certain reviews. Takes direction from Immediate Supervisor or Review Lead and executes specific sections of a work plan on more complex reviews. When unsure, guidance should be sought from Assurance Director and/or Regional Head of Assurance, U.S
  • The Global Assurance function is a new function being implemented in the U.S. Limited travel within the U.S. will be required to Compliance teams based outside New York City
  • Minimum Bachelor’s degree in related business field, or comparable experience required
  • Minimum of ten years progressive audit or compliance experience in the financial services sector; experience within both audit and compliance a significant plus; previous experience working in an Assurance function also a plus
  • Demonstrated understanding of or ability to understand GSM and FIM requirements
  • Excellent communication skills both oral and written
  • CIA, CPA, CRCM, CFSA and/or CAMs certification a plus
89

Regulatory Compliance Oversight Resume Examples & Samples

  • Provide oversight and support to Regulatory Compliance team (both NY and Jacksonville)
  • Supervise junior team members on all aspects of the Regulatory Compliance process
  • Coordinate and manage the day-to-day workflow around the weekly briefing, impact assessment and action planning process for Regulatory Compliance, and ensure sufficient follow-up and tracking of all open matters
  • Work with the team to provide a holistic view of significant new / changes rules and regulations for Compliance and communicate to internal stakeholders
  • Coordinate updates for the team on regulatory developments with respect to all management information (“MI”) reports and issue tracking (e.g., Significant Regulatory Developments deck, DBSI Report, Compliance Program Report, Compliance Work Plan) and provide to relevant stakeholders as needed
  • Provide clear and consistent reporting and escalation of regulatory developments to ensure status of implementation is transparent at all times and that any delays are highlighted and addressed with relevant team members
  • Develop and manage process to QA the team’s “Master Tracker” in order to identify issues and gaps
  • Support the Regulatory Compliance process roll out to Canada, Cayman Islands and LatAm
  • Serve as team representative for Compliance Change on development of automated tool to support the Regulatory Compliance process
  • Serve as team representative for Thomas Reuters to ensure quality and efficiency with respect to our weekly feed of new / changed rules and regulations
  • Maintain distributions lists, weekly briefing criteria, contact/ meeting logs and other similar documentation supporting the Regulatory Compliance process and our interactions with the Compliance Advisors and Business / Infrastructure areas
  • Manage final version control for all Regulatory Compliance documents and forms stored in the shared drive
  • Manage the Regulatory Compliance KOPs and workflow documents and work with the team to update, as needed
  • Develop and maintain escalation tracking and remediation efforts for Regulatory Compliance Working Group
  • Develop a process to support the validation of material rules and regulations for purposes of MaRisk and CCF risk assessment processes
  • Work with the team to develop and provide training to Compliance Advisors, as needed
  • Proactively and efficiently interact with both the NY and Jacksonville teams regarding the process and status updates for regulatory developments
  • Help maintain the intranet page for Global Regulatory Compliance and coordinate updates and changes needed
  • Assist with Regulatory Compliance projects and tasks, as may be requested from time-to-time
90

Head of Bank Regulatory Compliance & Regulatory Inquiries Resume Examples & Samples

  • Lead the Regulatory Inquiries and Bank Regulatory Compliance team to provide guidance to develop, implement, and maintain effective compliance programs for all applicable laws, regulations, and policies for RBC
  • Meet with Regulators and oversee regulatory examinations and reviews as needed to provide requested information
  • Partner with business to identify appropriate controls to achieve effective regulatory management
  • Excellent knowledge of relevant rules, regulations, procedures and expectations of relevant exchanges
91

Bank Regulatory Compliance & Regulatory Inquiries Resume Examples & Samples

  • Assist the Head of Bank Regulatory Compliance and Regulator Inquiries in leading the team to provide guidance to develop, implement, and maintain effective compliance programs for all applicable laws, regulations, and policies for RBC
  • Actively monitor regulatory developments and trends affecting the Bank and Capital Markets businesses
  • Establish and maintain relationships with key Regulators covering both the Bank and Capital Markets business
  • Foster a culture of compliance and with understanding relevant existing and pending regulations
  • BA, MA or MS
  • Strong interpersonal skills and superior judgment
  • Solution orientation
  • Ability to accept accountability, assume pro-active leadership, demonstrate initiative, and lead by example in teamwork, cross-unit co-operation, information sharing
  • Business orientation, ability to understand needs of users and address conflicts, competing priorities as necessary
92

Analyst Financial Crime Compliance & Regulatory Compliance Operations Quality Assurance Resume Examples & Samples

  • Be proactive to put forward plans and able to prevent potential fraudulent situations
  • Be able to generate, understand and also interpret MI reports on quality reviews conducted
  • Flexibility in adopting changes as per the department requirements
  • Promote an environment that supports diversity and reflects the HSBC brand
  • Drive standardized Quality process through the quality tools provided
  • Minimum of two years proven and progressive audit, compliance, financial services operations experience or equivalent
  • Bachelors degree in business, finance, accounting or equivalent experience
  • Good interpersonal, problem-solving, communications and analytical skills
  • Knowledge of products, services, operations and systems and extensive dealing with laws, regulations and regulatory agencies related to assigned areas
  • Preferably from the Commerce or Finance background
  • Knowledge of various Banking Products (Eg. Savings Bank Account, Current Accounts, Business Account etc)
  • AML Compliance Product Knowledge relating to Money Laundering, Crime and Terrorist financing
  • General understanding of Financial Products and Markets
  • Good understanding of Internet and its usage
  • Political, Social and Economic knowledge of countries that are major players in the global economy
  • Sound understanding of the AML Regulatory requirements
  • Ability to speak and understand English fluently, and write reports effectively
  • Ability to learn quickly, transfer knowledge appropriately, understand and interpret numeric data
  • Evidence of good analytical, statistical and data mining skills to study trends and make projections
  • Well-developed investigation skills, and highly skilled in report writing
93

Rfdar Production Regulatory Compliance Resume Examples & Samples

  • Risk and Finance Data Management
  • Risk and Finance Calculations and Models
  • Data Assurance, Reconciliations and Remediation
  • Bank-wide Operational Risk Reporting
  • Production Controls Oversight
  • Facilitate the regulatory self-assessments for the Production function across market risk, credit risk and financial data in line with the banks self-assessment framework. This entails working with the broader CRO regulatory co-ordination teams who are based in Americas, EMEA and APAC and the management team to complete the assessments followed by an independent review of the results. There is a large project expected across all CS US regulations which will be the core focus for 2016
  • Develop and maintain the inventory of the regulatory commitments of the production function to help the control function conduct quality assurance on the activities. Be proactive and forward looking in new or changes to the commitments and map these back to owners, process, KPI
  • Be the central coordinator for all regulatory presentations, develop the standard look and feel for the production function in line with guidance from the broader regulator co-ordination group. Have a central repository of the presentations and ensure that all data points are cross referenced and in line with the productions mandate
  • Graduate in Banking & Finance or related discipline preferred
  • Work experience as a manager or team lead in a Financial Institution either in Operations, Product Control, Financial Accounting or other shared services functions. Relevant experience in projects or transformation initiative focused on stakeholder management and facilitation across various departments
  • Experienced in understanding of the regulatory and compliance related matters
  • Must be a solid communicator across all corporate titles. Presentation skills a must coupled with stakeholder focus is essential
  • Solid people leadership experience
  • Project management abilities
  • Solid presentation skills
  • Stakeholder management focused individual
94

Regulatory & Compliance Counsel Resume Examples & Samples

  • *This is a multi-level position…compensation grades 48, 49 OR 50. The successful candidate will be placed at the level which best fits his/her skill set and experience.***
  • J.D. from ABA-accredited law school
  • Bachelor’s degree in Accounting a plus
  • 7-12 years of progressive growth experience
  • Experience in a complex organization working across multiple business units, functions and locations
  • Previous compliance, regulatory or risk/control experience
  • Knowledge of capital markets products, services and transactions
  • Experience with Federal Reserve Board requirements a plus
  • Flexibility to shift roles within a compliance program as it develops
  • Prior experience with a compliance program is desirable
  • Exceptional reasoning and analytical skills, particularly as to complex transactions and legal documents
  • Knowledge of bank regulations
  • Ability to offer solution-based compliance guidance to business units and functions
  • Ability to simplify complex compliance terms and conditions
  • Ability to communicate effectively, orally and in writing
  • Ability to interact, negotiate effectively and foster partnership and collaboration with Finance Risk team, business units and functions
  • Excellent organizational skills, attention to detail and time management, supported by a strong work ethic and drive toward excellence; and
  • Ability to proactively research and draw reasoned conclusions concerning the application of regulatory requirements
95

VP Regulatory Compliance Resume Examples & Samples

  • Serves as subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US
  • Articulates any control weaknesses and status of plans to address these across HNAH. Initially, this information will be part of the Regulatory Controls Review (RCR) Controls remediation Project for each regulation
  • Typically works under the direction of the SVP Regulatory Compliance or VP Director Regulatory Compliance. May be responsible for the management of AVP Regulatory Compliance and Regulatory Compliance Officer staff
  • Strong background in compliance within a financial services environment and be able to understand, interpret and apply complex regulatory requirements to business practices
96

Director, Regulatory Compliance Assurance Resume Examples & Samples

  • Each incumbent is responsible for reviewing assigned areas within U.S. Compliance (1) Financial Crime Compliance including: Bank Secrecy Act/Anti-Money Laundering, Sanctions and Anti-Bribery and Anti-Corruption compliance programs (2) Regulatory Compliance – Banking including: compliance programs for commercial, retail and private banking activities and (3) Regulatory Compliance – Securities including: compliance programs for broker dealer and asset management activities
  • To fulfill on a timely basis a schedule of reviews of all U.S. Compliance functions, in accordance with the Compliance FIM, Sections B2.1.3, the job holder will be expected to instruct and direct other members of the team and make decisions based on their knowledge and experience. When unsure, guidance should be sought from job holder’s direct manager or Group Assurance. The job holder is expected to act proactively and develop ideas for enhancements to the department’s activities
  • Minimum of fifteen years proven and progressive financial services auditing/Compliance testing experience. CIA, CPA, CRCM, CFSA and/or CAMS certification a plus
  • Proven technical expertise related to assigned areas
  • Financial Crime Compliance incumbent should have minimum of ten years of experience working with AML and Sanctions Compliance programs. Anti-Bribery and Anti-Corruption compliance experience is a plus
  • Regulatory Compliance Banking incumbent should have a minimum of ten years of experience working with varied aspects of Banking compliance programs. Incumbent should have experience with Regulatory Compliance programs supporting commercial, retail and private banking activities
  • Regulatory Compliance - Securities incumbent should have a minimum of ten years of experience working with compliance programs supporting a broker/dealer and have knowledge of products (equities, fixed income, derivatives), how products trade and how the capital markets process works. FINRA Series 7, 9, 10, 24, 63 and/or 79 licensing is a plus. Investment Advisor compliance program experience is also a plus
  • Strong knowledge of banking regulations, businesses, products, operations, and systems. Strong understanding of significant regulatory compliance requirements applicable to the business
  • Experience and successful contribution to the formation of a new department, group or project, a plus
  • Excellent organizational, project management and planning skills
97

Regional Regulatory Compliance Resume Examples & Samples

  • To assist in managing the daily operation of Regulatory Compliance team
  • To assist in reviewing the compliance related policies and procedures, as well as updating the relevant operation manuals
  • To assist in executing and monitoring the requests made by HKMA and other regulatory authorities, as well as handle ad hoc projects
  • To study the new regulations / consultation papers issued by regulatory authorities and assist in fostering a strong compliance culture of the Bank, etc
98

Regulatory Compliance Counsel Resume Examples & Samples

  • Supports and builds infrastructure and processes to support increasing and new client requirements arising from the growth of the third party asset management business. Additionally, as compliance and regulatory infrastructure is built out, this position could evolve into also providing coverage of regulatory and governmental affairs
  • Advises on various distribution and compliance issues
  • Negotiates variety of agreements and creates controls to implement requirements from agreements
  • Effectively identifies applicable new and emerging laws and trends
  • Synthesizes such data in order to effect changes to relevant Company practices, policies and protocols
  • Helps affected areas implement necessary adaptations such that the Company is compliant with applicable law and desired business standards and that the same can then be tested by second and third line functions
  • Assists other AAM attorneys with variety of other projects needed to support 2020 initiatives, improve control environment and backfill as necessary
  • Provides legal support to operations
  • Investigates and analyzes various factual scenarios and ambiguous situations without much instruction
  • Supports various members of legal team and play different roles across a number of functions as needs from 2020 growth objectives arise
  • Advises other legal team members and the business on legal requirements and practical solutions for addressing them
  • Evaluates rules, risks and give practical guidance to facilitate solutions while appropriately mitigating regulatory risk
  • Developing a clear view on rules that may be ambiguous in their application
  • Minimum of 2-5 years of experience at a law firm or corporation
  • Knowledge in one or more areas including investment advisor rules, securities laws, transactions, distribution and compliance/operational matters preferred
  • Prior experience at a law firm or investment advisor in securities, transactions, investment management agreements preferred
99

Senior Analyst Financial Crimes Compliance & Regulatory Compliance Management Information Systems Resume Examples & Samples

  • Strong analysis and problem solving skills
  • Motivated and results oriented professional who enjoys working in a fast paced environment
  • Escalates any project issues to manager
  • A Bachelor’s degree or equivalent experience with a major or minor in Computer Science or related Strong written and verbal communication and problem solving skills; proficiency in analytic and quality assurance techniques; leadership ability; and a willingness to take appropriate risks
  • Three plus years’ experience in MIS, Risk Management or related field
  • Experience with various Business Intelligence tools such as Cognos or Qlikview
  • Proficient with Excel, Word, and PowerPoint
100

Senior Manager Compliance Regulatory Compliance Management Project Resume Examples & Samples

  • In conjunction with the Director, Compliance, Regulatory Compliance Management engage with Scotiabank’s Business/Compliance Units and other internal/external RCM Stakeholders identify industry best practices, capture Scotiabank-specific requirements, define enterprise standards and create common RCM processes
  • Identify and track regulatory compliance issues through remediation and archive resolution details
  • Participate in the design and deployment of concise, near real time, reader-friendly reports that support the operational needs of Scotiabank’s Business/Compliance Units as well as the strategic needs of Scotiabank’s Senior Executive and Board of Directors
  • Support the Director in the management of multidisciplinary sub-projects through planning, solution development and global implementation
  • Help execute the quality assurance mandate to ensure Scotiabank’s continuing compliance with OSFI’s RCM Program obligations and with changing regulatory obligations in all the jurisdictions in which Scotiabank operates
101

Senior Regulatory Compliance Content Specialist Resume Examples & Samples

  • Escalating instances of non-compliance with the FCC/RC Training Plan to senior level management in the business and support units
  • May provide compliance support, advice, and guidance to the CCO of HSBC Bank USA, N.A. and the GBM Global Markets businesses in connection with Titles VI (Volcker Rule) and VII (swap dealing activities) of the Dodd-Frank Act as it applies to each area of Compliance coverage. Ensuring that rules and regulations applicable to HSBC Bank USA N.A. as the CFTC registered Swap Dealer will be considered and their requirements incorporated in the Compliance officer’s overall day to day job responsibilities. This includes, but is not limited to, updating policies and procedures, line of business reviews, training, surveillance, registration obligations, regulatory reporting and risk assessments, and escalation of any potential issues of non-compliance to the CCO. Work with GBM line managers to see that they are informed of the Dodd Frank related requirements and assist them to implement these requirements in the GM business
  • Minimum of eight to ten years proven training and delivery experience, or equivalent
  • Minimum of Bachelor’s degree in education, communications, or related field or equivalent experience
  • Strong managerial, planning, analytical, decision-making, lateral thinking, leadership, influencing, verbal and written communications, interpersonal and project management skills
  • Training delivery & design experience
  • Strong knowledge of Banking and Broker Dealer Rules/Regulations/AML Compliance Program requirements; including the U.S. Bank Secrecy Act, the USA PATRIOT Act, U.S. Sanctions requirements, as well as knowledge of the constant changing FCC/RC environment
  • Proficiency with Personal Computers as well as revenant mainframe systems and software packages
102

Senior Analyst Financial Crime Compliance & Regulatory Compliance Management Information Systems Resume Examples & Samples

  • Motivated and results oriented professional who enjoys working in a fast paced environment
  • Escalates any project issues to manager
  • A Bachelor’s degree or equivalent experience with a major or minor in Computer Science or related Strong written and verbal communication and problem solving skills; proficiency in analytic and quality assurance techniques; leadership ability; and a willingness to take appropriate risks
  • Experience within a large financial services organization
  • Three plus years’ experience in MIS, Risk Management or related field
  • Experience with various Business Intelligence tools such as Cognos or Qlikview
  • Proficient with Excel, Word, and PowerPoint
103

Regulatory Compliance Risk Assessment Officer Resume Examples & Samples

  • To implement the Group compliance policy locally by containing compliance risk in liaison with the Head of Group Compliance, Global Business Compliance Officer, Area Compliance Officer or Local Compliance Officer, ensuring adequate compliance resources and training, fostering a compliance culture and optimizing relations with regulators
  • Complete other responsibilities, as assigned
  • Broad scope of knowledge of assigned businesses, including products, operations, systems, and organization and full understanding of all significant regulatory compliance requirements applicable to assigned business(es)
104

Regulatory Compliance Strategy Resume Examples & Samples

  • At least 6-10 years experience working within the financial sector (directly, or in a regulatory or advisory role)
  • Proven communication, presentation, and business writing skills in English and ideally, in Chinese languages
  • Knowledge of the latest regulatory developments and current issues facing financial firms in at least one Asia Pacific jurisdiction (Australia, China (including Hong Kong), Japan and/or Singapore preferred)
  • Ability to develop hypothesis-driven analysis, and to lead and contribute to fact-based, impact assessments
  • Ability to work across several streams simultaneously; under own initiative
  • Strong ethics with high professional standard
  • Regular regional travel may be required
105

Regulatory Compliance Consultant Resume Examples & Samples

  • Project Involvement – Participation and involvement with regard to assessing risks inherent in significant changes in business processes or work flows, and changes or additions to operating systems.. Support business initiatives by participating in the tactical development of the initiative’s compliance and operational process and by analyzing initial and ongoing results of an initiatives’ roll-out compared to original plan. Involvement includes, but is not limited to, project team participation, system testing, post-project support and incorporation into the Compliance QC review process as appropriate
  • Experience with 3 or more regulations related to the assigned 1st Line of Defense function or LOB
  • Ability to organize, direct, and perform highly complex analysis and interpret complex laws and regulations
  • Demonstrate strong leadership, management and relationship management skills
  • Demonstrated working knowledge of standard compliance concepts, practices, policies and related state and federal laws and experience with regulatory agencies, requirements, and/or regulatory compliance; such as UDAAP, Truth-in-Lending, Regulation B, and all other consumer protection requirements
  • Strong communication skills, both verbally and written
  • Effective influencer at all levels of executive management in order to ensure that key initiatives receive the appropriate attention
  • Ability to work within a matrix organization
106

Regulatory Compliance Risk Metrics Reporting Resume Examples & Samples

  • Identify and Assess Issues – 25%
  • Documentation and Monitoring – 25%
  • Reporting and Escalation– 25%
  • Approval and Close of Issues– 25%
  • Understanding of the regulatory and compliance requirements applicable to the assigned AU(s) for BMO CM
  • Solid knowledge of the Broker Dealer and Banking Regulations, which include but not limited to SEC, FINRA, OCC, FRB, CFTC, IIROC, OSFI etc
  • 5+ years of relevant experience preferably in Capital Markets
  • Knowledge of Investment Banking and Corporate Banking, Trading Products regulations a plus
  • Strong written and oral communication
  • Strong relationship management skills; ability to establish and manage multiple stakeholder relationships with the business, within the three lines of defense and with corporate support functions
  • Ability to read technical compliance material and distil the applicability of the regulations to their respective business unit(s)
  • Excellent project management, auditing, writing, communications and presentation skills
  • Excellent judgment and interpersonal skills, who can consult, influence, collaborate, effective challenge colleagues across first, second and third line and the business groups
  • Ability to communicate questions and requests in a professional and clear manner
  • Certification in Compliance and/or Risk Management would be ideal
107

SVP Regulatory Compliance Strategic Initiatives Resume Examples & Samples

  • Sets priorities and makes day-to-day decisions independently. Escalates matters to senior management as needed
  • Serves as subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US. Serves as the central point of contact for US Compliance and oversees the accuracy of the information regarding the regulation in the risk assessment tools while serving as the advocate for consistency of controls
  • Is knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Ensures remediation efforts are on track for assigned regulation(s), regulatory requirements, and/or compliance risks
  • Articulates any control weaknesses and status of plans to address these across HNAH. Initially, this information will be part of the Regulatory Controls Review (RCR) Controls remediation Project for each regulation
  • Minimum of 15 years proven and progressive financial services, compliance and/or legal management experience, or equivalent
  • Minimum of a Bachelor’s degree in business, related field or equivalent experience; Master’s degree and/or Juris Doctorate (JD) preferred
  • Well-developed managerial, communications, negotiation, analytical, organizational, project management, and strategic and/or operational planning skills
  • Broad scope of knowledge of banking businesses, including products, services, and operations and full understanding of compliance requirements applicable to assigned regulation(s), regulatory requirements and/or compliance risks. Ability to proactively and effectively advise business lines on regulatory compliance
  • Proficiency with personal computers, pertinent mainframe systems, and software packages (MS Office)
108

Head of Regulatory & Compliance Training Resume Examples & Samples

  • 55%: Regulatory and Compliance Training Management
  • Leads the development of training programs across R&D functions
  • Provides R&D organizational leadership to instruction design for Regulatory and Compliance training
  • Assess various training approaches appropriate for the intent and scope of training, ensuring the programs get developed with clarity of learning objectives and effective delivery
  • Establishes and Manages the training curriculum and matrix for R&D functions including SME training and provides updates as applicable
  • Develops training for cross-functional policies, processes, and standards, to ensure R&D groups are working effectively and collaboratively in compliance with global regulations and company standards
  • Works with the Subject Matter Experts (SMEs) in the interpretation of global regulations and guidance’s and the impact on the training materials for R&D’s policies and standards
  • Collaborates with the other R&D QA & Compliance Sr. Leaders in identifying areas of regulatory and training needs
  • Identifies gaps and redundancies and coordinates and implements training curriculum and design updates with R&D functional representatives, QA/C Sr. Leadership, R&D Leadership and other applicable groups such as Technical Operations, Corporate Compliance, Legal and business units
  • Ensures the timely revision and updaters to training materials
  • 15%: Inspection Readiness
  • Ensures that R&D is inspection ready and staff are trained in the applicable regulatory and compliance requirements
  • Acts as the representatives during audits and inspections to provide training and compliance overview
  • Oversees the coordination of the training Program inclusive of the creation of the training curriculums
  • Participates, performs and/assists in the root cause analysis of compliance issues and develops appropriate metrics for tracking, trending and reporting to functional and senior management
  • 15%: Leadership
  • Managing Performance: Ensure every employee knows what is expected of them, what it takes to be successful, and how they are progressing. Hold everyone accountable to achieve results while demonstrating Shire values
  • Developing People: Help employees continually grow through challenging opportunities so they can realize their potential
  • Fostering a Brave Culture: Show employees what Brave looks like by being a role model. Create the environment in which people are able to be Brave and a culture where any risks are always in compliance with applicable laws and regulations
  • 15% R&D QA & Compliance Leadership
  • Bachelor’s degree in a life science or education required; Master’s Degree in management, education or scientific discipline a plus
  • At least 10 years of pharmaceutical experience
  • Ideal candidate will have broad experience in training and education, product development, clinical operations, regulatory compliance, quality management systems, IT systems, and at least 7 years of direct management experience
109

Financial Crimes Compliance & Regulatory Compliance Operations Quality Assurance Analyst Resume Examples & Samples

  • Minimum of two years proven and progressive audit, compliance, financial services operations experience or equivalent
  • Good interpersonal, problem-solving, communications and analytical skills
  • AML Compliance Product Knowledge relating to Money Laundering, Crime and Terrorist financing
  • Good understanding of Internet and its usage
  • Ability to learn quickly, transfer knowledge appropriately, understand and interpret numeric data
110

Regulatory Compliance Life Sciences Manager Resume Examples & Samples

  • Key client service delivery of assessments, monitoring, investigations, reviews and ongoing client support in connection with regulatory and compliance matters in the Life sciences industry
  • Providing hands on support on effective compliance program assets as needed to support client consulting engagements
  • Workplan and Monitoring plan development, onboarding team members, and execution of workplans to align to client compliance needs and regulation requirements
  • Handle other duties as assigned by employer
  • BS or B.A
  • 4-7 years’ experience in consulting, public accounting, or other professional services organization in a client service role focused on Life Sciences
  • Experience in professional services consulting on matters related to Compliance program effectiveness or issue response for Life Sciences companies and associated regulations, regulators, and enforcement actions
  • Strong leadership skills and being a “team player”
  • Demonstrated consulting and critical thinking skills; experience developing the workplan and making appropriate adjustments to meet the client & regulatory needs
  • Comfortable performing multifaceted projects and developing other team members
  • Communications: Strong listening skills, Clear Logical executive summary and detailed reporting both in written and verbal communications
  • Driven and Results Motivated
  • Develop effective working relationships with client and team members
111

EEO / Regulatory Compliance Consultant Resume Examples & Samples

  • Assist with preparation of Affirmative Action narrative and Technical Reports for each plan/location
  • Compile and perform preliminary analysis of data in support of OFCCP audits and requests for additional information; Analyze same for risks, and opportunities for improvement
  • Assist with OFCCP data requests, review data for accuracy and prepare OFCCP Submission
  • Provide process improvement and other relevant change recommendations to Director, EEO & Regulatory Compliance based on audit findings; assist and/or lead with implementation of change based on audit findings
  • Work with counterparts in the ESC, HRIS and TAM Departments to ensure data integrity and compliance of systems, interfaces or enhancements with government regulations
  • Assist with coordination of Action Oriented Programs for each Controlling Establishment
  • Partner with TAM City Reps and AAP Administrators to schedule local targeted Outreach Efforts
  • Partner with TAM City Reps to establish and maintain local employment partnerships
  • Assist with collection and maintenance of Outreach Activity Documentation
  • Keep current on regulations and best practices utilizing a variety of sources, benchmarking and industry networks
  • Project Lead as needed
  • Other Projects/Assignments as needed specific to Regulatory Compliance
112

Head of Bank Regulatory Compliance Resume Examples & Samples

  • Work with business heads to identify, discuss, and address emerging regulatory trends that may impact their relevant business operations from a compliance perspective
  • Responsible for fostering a culture of compliance and with understanding relevant existing and pending regulations
  • 15 or more years of compliance experience obtained in at a relevant regulator or a financial institution, including direct interaction with the Fed or OCC
  • Strategic thinking
  • Partnership mentality with respect to rest of RBC enterprise, including other functions
  • Ability to maintain confidentiality of highly sensitive information
113

Director Compliance Change Management Regulatory Compliance Management Resume Examples & Samples

  • Ensure that the Bank’s leadership teams understands the cultural, organizational and human resource issues that are arising as a result of the various Global Compliance, RCMP initiatives and project streams by
  • Assist in understanding their role in the change process
  • Building commitment and ownership for driving the changes
  • Coaching leaders and key stakeholders to lead and champion change within their teams, cascade key messages - to ensure the imperative for change is well understood, and that they role model expected behaviours to create and sustain momentum
  • Identifying barriers to implementation that may arise from them and develop mitigating solutions
  • Lead and develop organizational readiness plans and change strategies by
  • Providing functional expertise in the area of organizational readiness and developing overall Program Change Management Strategy, including individual project change strategies, as appropriate
  • Developing and implementing a change management plan that addresses the change impacts of the project(s), while minimizing stakeholder resistance and maximizing engagement
  • Assessing the organization’s readiness for change and potential barriers to implementing change and providing mitigation solutions
  • Playing a key role in overseeing HR strategies to motivate and retain employees in Global Compliance and other impacted groups during a time of dynamic change
  • Developing and executing measurement strategies for change management and learning initiatives related to the RCMP; assessing the effectiveness of current applicable areas change & learning processes; identifying strengths and opportunities for enhancement
  • Support the RCMP Project Team(s) and key stakeholders to meet business and scheduling objectives, focusing on the people side of change by
  • Understanding the people impacts as a result of changes to applicable processes, systems and technology, job roles and organization structure
  • Promoting knowledge sharing across the applicable areas and other stakeholder groups
  • Working with the RCMP Project Team(s) and other stakeholders and partners to achieve project objectives as well as to ensure that Scotiabank’s formal organization infrastructure (i.e. performance management, succession planning, rewards, learning, etc.) supports the new ways of working
  • Working with HR Training to conduct a skills gap analysis and plan training based on new and /or redefined job roles
  • Lead the RCMP development and execution of integrated communication strategy, plans and activities that aligns messages and programs and supports the successful execution of the RCMP initiatives by
  • Identifying communication needs and developing appropriate communication strategies and plans to assist senior management team to foster a broader understanding of initiatives and projects and in the execution of the RCMP strategy
  • Identifying, planning and executing communication initiatives that enhance and improve the RCMP communication with key stakeholders and businesses
  • Overseeing the creation of communications designed to highlight short-term, visible and meaningful “wins”, to sustain project momentum
  • Providing support and advice to RCMP project stakeholders on communication strategies and plans
  • Developing and executing measurement strategies for communication initiatives; assessing the effectiveness of current RCMP communication processes; identifying strengths and opportunities for change and enhancement
  • Quarterly reviews on the RCMP Strategy and execution plans with the management team
  • Experience in leading major change management and communication activitiesfor complex transformation initiatives
  • Be a hands on member of the team as required
  • Proven ability to engage and manage stakeholders in a complex, matrixed environment
  • A high degree of flexibility to adapt to a wide variety of tasks and functions
  • Strong project management skills and experience
114

Securities Services Regulatory Compliance, VP Resume Examples & Samples

  • Supporting all regulatory compliance matters related to Securities Services
  • Identifying risks and continuous review of existing compliance frameworks
  • Interacting with regulators and working closely with internal stakeholders within Securities Services
  • Have strong experience in regulatory compliance
  • Have good knowledge in trustee or custody
  • Have excellent communication and stakeholder management skills
115

Regulatory Compliance, Private Banking Resume Examples & Samples

  • Proven exposure in compliance assurance and controls
  • Experience in implementing new Policies
  • General understanding of global laws and regulations
116

Regulatory Compliance Consultant Resume Examples & Samples

  • Complete compliance program testing covering various compliance topics for financial institution clients
  • Assist in discussing findings from compliance testing with engagement team members and clients and preparing reports and recommendations
  • Work with clients and other FIG staff to determine engagement/relationship objectives, develop appropriate budgets, and assist in coordinating resources to meet the objective
  • Develop an understanding of the client’s business activities, controls, processes, and associated risks
  • Accountability for the timely completion of fieldwork
  • Work with other Managers, Engagement Directors, and clients to address audit, accounting, and compliance issues that may arise
  • Keep abreast of the latest banking industry and compliance developments through self-education
  • Provide ongoing technical assistance support to clients and anticipate and address client issues
  • Assist in the oversight and completion of other engagements/special projects or duties as assigned
117

Regulatory Compliance Consultant Resume Examples & Samples

  • Review of mortgage loan documentation to assess compliance to consumer financial protection regulations including, Truth in Lending Act, Real Estate Settlement and Procedures Act, and other applicable federal and state regulations
  • Monitoring of federal laws and consumer disclosure regulations for all 50 states
  • Use of software programs to test accuracy of consumer disclosures
  • Opportunity to publish articles in the company’s newsletter Compliance Monitor
  • Opportunity to work on-site for clients in Massachusetts and elsewhere
118

Bank Regulatory Compliance Professional Resume Examples & Samples

  • Effectively work and communicate with clients in the banking industry to ensure compliance processes and operations meet required regulations
  • Conduct consultative collaboration sessions and/or discussions with key leaders within the client company in order to respond to regulatory examination issues, correct compliance deficiencies and review internal compliance processes and controls
  • Understand and keep current with banking compliance regulations trends or issues in order to recommend and/or develop processes and procedures to implement changes to better serve the client
  • Prepare and assist client companies with compliance testing and training on bank regulatory issues
  • Attend professional development, networking events and training seminars on a regular basis
  • Prepare and review documents within a bank setting
  • Reconcile information to control accounts
  • Request and collect appropriate information to diagnose and solve client business issues
  • Coordinate various activities to meet client needs within a specified time frame
  • Understand and apply work procedures and effectively tailor plans as necessary
119

ERS Business Risk Corporate Governance Senior Manager Corporate Governance & Business & Regulatory Compliance Resume Examples & Samples

  • Expertise - Collaborate with other team members and lead on field delivery which would involve high level of interaction with senior client(s), team members
  • Solutions - Define and deliver on-site technical engagements with partners and clients. This includes participating in pre-sales on-site visits, understanding customer needs and requirements, and proposing and delivering tailored offerings
  • Delivery - Engagements include short on-site projects, involving as-is assessment, development of Corporate Governance frameworks and recommendation implementable solutions
  • Familiarity with industry compliance and corporate governance codes and standards
  • Experience advising clients on meeting industry and leading practices standards and frameworks
  • Deep understanding of corporate governance methods and techniques to drive successful outcomes
  • Notable customer experience and collaboration skills
  • 8+ years experience, with evidence Implementation experience with enterprise governance, risk, and compliance software packages
  • Demonstrated ability to think strategically about business, product, and technical challenges
  • Highly technical and analytical
  • Experience building enterprise governance, risk, and compliance programs or driving the program's evolution to meet new requirements
  • Strong verbal and written communications skills and ability to lead effectively across organizations
120

Director of Regulatory Compliance Consulting AML & BSA Resume Examples & Samples

  • Participate in growth activities for Risk Advisory Service offerings with specific emphasis on BSA and AML within the regulatory compliance services framework. Promote cross selling and integration of service lines of business
  • Work individually and as part of a team to provide project execution on client engagements
  • Use proven tools and techniques to execute project deliverables in a manner congruent with our client's business objectives
  • Manage engagement fundamentals (e.g., realization, utilization, leverage, accounts receivable, and expenses)
  • Mentor, coach, and train staff and attract, develop, and retain talent
  • Heighten the RSM brand by demonstrating thought leadership and embracing the RSM marketing campaign and programs supported by the firm
  • Application of Anti-Money Laundering (AML) and Bank Secrecy Act (BSA ) regulatory compliance expertise in a consulting, financial institution, or regulatory environment
  • 10 + years' experience with federal regulatory compliance laws and regulations in a financial institution, regulatory agency, or consulting capacity
  • Excellent verbal, written, and interpersonal communication skills
  • Practice development and management, marketing, and thought leadership
  • Significant experience in managing client relationships and leveraging them into new business advisory opportunities
  • Professional certification such as CRCM or CAMS
  • Ability to travel 35% of the time
121

Regulatory Compliance Senior Resume Examples & Samples

  • Monitoring and reporting Bank compliance with all applicable federal and state regulations
  • Performs all regulatory compliance audits within a defined annual audit plan
  • Develops and maintains compliance audit programs and defines scope of reviews
  • Prepares and maintains audit documentation and work-papers
  • Conducts analysis of audit findings to draw logical conclusions
  • Writes formal audit reports directed toward those audited, Senior Management, and the Audit Committee
  • Conducts appropriate follow-up with those audited to resolve audit findings
  • Coordinates and manages the regulatory compliance audit process
  • Develops and implements an annual risk based compliance audit plan, including scope determination, audit planning memos and reports
  • Plans, schedules and conducts each audit, per schedule, to ensure that all activities conform to established audit procedures
  • Uses audit programs as guides and initiates additional audit steps where deemed appropriate
  • Reviews compliance related policies and procedures for compliance with regulatory requirements and sound practices
  • Prepares detailed report of violations to federal and/or state regulations and other compliance audit findings, presenting any irregularities or exceptions to Senior Management and/or the Audit Committee
  • Makes recommendations for corrective action
  • Reviews responses from the auditee for audit reports to determine whether appropriate action has been taken
  • Monitor implementation of needed corrective action
  • Report, at least quarterly, to the Audit Committee of the Board of Directors on current quarterly audit results, any findings, corrective actions and status of prior open issues
  • Analyzes the audit programs for effectiveness, recommending changes and improvements as appropriate
  • Conducts any special audits as assigned by the Risk Manager
  • Discusses with the Risk Manager any changes to scope of audits performed, significant findings noted as the audit progresses and conclusions and recommendations as audits are finalized
  • Maintains appropriate records and provides assigned reports
  • Perform all duties in compliance with the Bank’s policies regarding Equal Employment Opportunity, Code of Conduct and the appropriate use of email, the Internet and any other technology tools as well as the Bank Secrecy Act (BSA) and Bank Protection Act (BPA) regulations
122

Corporate Regulatory Compliance Resume Examples & Samples

  • The position ofCorporate Regulatory Compliance will be the primary resource for the FDA, USDA, State and local information requests and regulatory program management issues. Also will be the lead liaison between plant, regulatory agencies, and legal. This position will represent Kraft on selected trade association working groups and committees, and must keep current, changing regulatory environment and provide updates to the Kraft Quality Leadership team. Position will work with the BU’s to resolve customer/consumer and internal issues as related to regulatory compliance topics, while providing training and regulatory inspection trend awareness and preparedness to all stakeholders lead a team that ensures effective implementation and execution of the Kraft Heinz Supplier Quality Management System across an assigned product category. The position provides visible quality leadership ensuring that KFG supplier quality standards are understood and met through on-site assessments. This position also ensures that best practices are replicated across the category. This position requires travel up to 70%
  • Understanding of corporate regulatory strategy and BU business priorities
  • Ability to asses risk and assign priority to manage business needs and regulatory requests
  • Understanding of product/package development, manufacturing conversion, logistics operations, procurement, commercialization, and regulatory/health authorities
  • Understanding objectives of categories and overarching business
  • This role requires a BS degree in a science or related field with exposure to food science/engineering or microbiology
  • This role requires an understanding of food safety, sanitation/GMP principles and regulatory
  • Strong leadership, communication, and presentation skills
  • This position is core to a career in food manufacturing providing exposure to quality systems, food safety management, sanitation programs, and regulatory compliance
  • A highly effective Compliance Manager will build Manager level leadership skills in the areas of Managerial Courage and Negotiating
123

Anti-money Laundering Regulatory Compliance Management Control Testing Manager Resume Examples & Samples

  • Maintain current, detailed knowledge of BSA/AML requirements, banking regulations and directives of the U.S.-AML Office
  • Bachelor’s degree preferably in focal areas of finance, economics, or an accounting related field
  • Relevant experience in professional risk management, compliance, accounting or auditing in banking or financial services
  • AML and risk control subject matter expertise in the context of broader disciplines such as Criminal Justice, Homeland Security, Intelligence Operations and practical application
  • Institutional knowledge of products and services as well as business unit policies and objectives
  • Knowledge of AML Banking Compliance, including transaction monitoring and banking product risk
  • Knowledge of corporate banking regulations and law
  • Knowledge of AML gaps
  • Knowledge of credit analysis, credit management or treasury management
124

Senior Analyst Regulatory Compliance Chief & Risk Administration Office Resume Examples & Samples

  • Provides highly professional, competent and skilled service to the RC COO/COS function
  • The jobholder is required to think proactively and use initiative to finding solutions to problems
  • The jobholder is expected to deliver a high performance
  • Ability to distil complex and varied data into information; good process analysis and problem solving skills
  • Attention to detail and ability to ensure that information is captured in a timely manner
  • Ability to adopt a tailored and effective communication style to varying levels of management
  • Excellent Excel, Powerpoint with focus on spreadsheet modelling and presentation
  • The ability to quickly understand customer requirements and concerns and deliver a quality result to them
  • Delivery-focused to ensure tasks are completed on time and to a level of quality
  • Proven ability to prioritize workload effectively in line with business priorities
  • ‘Can Do’ attitude. Willing to turn a hand to whatever task is required
  • Willingness to own work and problems and see through to completion and to use own initiative to resolve issues
  • Ability to work with minimal supervision and a flexible approach to working hours and responsibilities
  • Self-motivation, and a proven rapid learning capability in a changing environment are essential
  • University graduate, preferably with a background in Accounting, Finance, Compliance or Risk
125

Senior Counsel, Regulatory Compliance Resume Examples & Samples

  • Advising and influencing risk management and resourcing
  • Leading and guiding internal investigations regarding ABC and AML issues
  • Developing risk management strategies and collaboratively implementing them
  • Providing practical advice on day-to-day compliance questions
  • Improving policies, procedures, tools, training and resources
  • Being a trusted advisor to senior business people at BP
126

Regulatory Compliance Support, Manager Resume Examples & Samples

  • MBA or Master’s Degree in related discipline
  • Knowledge of relevant California and Federal regulatory programs
  • Familiarity with regulatory compliance concepts
  • Familiarity with risk/compliance management concepts
  • Experience managing or building a compliance program
  • Ability to influence business leadership and management decisions
  • Ability to influence and work with and across all levels within the business
  • Strong written and oral communication skills
  • Strong knowledge of the Utility industry
  • The RCS Manager is principally responsible for managing Compliance and Ethics’ interface with other departments regarding PG&E’s compliance programs, including the Session D process, the Guidance Document Management program, and line of business (LOB) compliance support
  • In this role, the successful candidate will manage a team to provide strategic guidance and coaching to compliance risk owners to develop, implement and monitor appropriate risk mitigation activities, controls and alternatives analyses; provide subject-matter expertise and coaching related to compliance management; develop compliance program strategies, templates and direction; and drive continuous improvement in the enterprise compliance program
  • The RCS Manager will communicate regularly with PG&E senior management and key stakeholders; promote innovation for solutions that benefit stakeholders; provide leadership to support the company’s compliance programs; and manage and drive innovative and new thinking focused on program strategy, controls development, compliance risk analysis and mitigation and implementation
127

Regulatory Compliance Support, Senior Analyst Resume Examples & Samples

  • Bachelor’s degree in any of Management, Risk, Compliance, Business, Accounting, Finance, Behavioral Sciences or related discipline or equivalent experience
  • Minimum of five years of experience in risk or compliance management, utility operations or related field
  • Advanced research and issue resolution skills
  • Able to present analysis and evaluation results and output in a cohesive, understandable and actionable format to department management
  • Understands programs, policy and compliance requirements and able to advise on business impacts
  • Ability to identify and assess compliance and business risk
  • Ability to solicit and integrate information from a variety of sources
  • Strong client focus
  • Comfortable with ambiguity and making educated and informed recommendations based on minimal data
  • The RCS Senior Analyst is principally responsible for supporting Compliance and Ethics’ interface with other departments regarding PG&E’s compliance programs, including the Session D process, the Guidance Document Management program, and line of business (LOB) compliance support
  • In this role, the successful candidate will support a team that provides strategic guidance and coaching to LOBs and compliance risk owners; assist in the implementation and monitoring of appropriate risk mitigation activities, controls and analyses; assist in the development of tools and templates; and help drive continuous improvement in PGE’s compliance program
  • The RCS Senior Analyst will communicate regularly with PG&E compliance management and key stakeholders, and support the promotion of innovation for solutions that benefit stakeholders, as well as support the company’s compliance programs
128

Regulatory Compliance Support, Expert Analyst Resume Examples & Samples

  • MBA or Master's degree in related discipline
  • Able to present complex data and findings to internal audiences (including Managers, Directors and VP’s across the company) in a cohesive, understandable and actionable format to department management
  • Applies demonstrated knowledge and skill to resolve complex problems
  • Ability to use proper analytical techniques to breakdown and solve complex problems
  • Able to develop complex as is and to be process maps for risk and compliance processes and complex controls frameworks
  • Ability to address complex strategic issues and take a broad perspective to identify innovative solutions
  • Ability to identify and implement program and process improvement opportunities
  • Ability to provide feedback and coach peers and leaders on risk and compliance issues
  • Works independently, with guidance only needed on the most complex issues
  • The RCS Expert Analyst is principally responsible for assisting Compliance and Ethics’ interface with other departments regarding PG&E’s compliance programs, including the Session D process, the Guidance Document Management program, and line of business (LOB) compliance support
  • In this role, the successful candidate will be a part of a team that provides strategic guidance and coaching to LOBs and compliance risk owners; assists in the implementation and monitoring of appropriate risk mitigation activities, controls and analyses; assists in the development of tools and templates; and helps drive continuous improvement in PGE’s compliance program
  • The RCS Expert Analyst will communicate regularly with PG&E compliance management and key stakeholders, and support the promotion of innovation for solutions that benefit stakeholders, as well as support the company’s compliance programs
129

Senior Regulatory Compliance Risk Analyst Resume Examples & Samples

  • Demonstrates a high degree of professionalism at all times
  • Escalates matters to senior management as needed
  • Communicates effectively and professionally, and conveys the key information needed to ensure compliance goals are met
  • Helps ensure positive and professional working relationships with internal and external stakeholders (measured by stakeholder feedback)
  • Maintains strong and proactive relationship with Compliance function colleagues and regulators (measured by stakeholder feedback)
  • Provides effective advice, guidance, and support to business lines, support areas, operations, on accurate identification and measurement of risk
  • Delivers reports to the HNAH Board of Directors and Senior Management in quality manner and within required timelines
  • Exhibits strong desire to assist management in ensuring business practices evolve towards best in industry (measured by stakeholder feedback)
  • Leads by example, fosters a positive work environment (as assessed by supervisor)
  • Exhibits knowledge of emerging compliance-related trends and industry practices that enhance the overall team quality and performance
  • Influences the compliance culture in a positive fashion (measured by direct manager’s assessment)
  • Ensures proper engagement with areas supported to respond to any audit or regulatory review-related matters or inquiries in a timely manner
  • Ensures that all deliverables for reviews, analyses, and regular reporting are consistently met in a quality manner
  • Analyses and recommendations are of high quality (measured by direct manager’s assessment)
  • High quality completion of assigned projects and initiatives according to agreed timelines
  • Identify material risks via the CDSA and ERA process
  • Minimum of 3-5 years proven and progressive financial services operations, compliance and/or legal management experience, or equivalent
  • Bachelor's degree in business, related field or equivalent experience; Master's degree preferred
  • Well-developed communications, negotiation, analytical, organizational, project management, and strategic and/or operational planning skills
130

Analyst Government Reporting Regulatory Compliance Assurance Resume Examples & Samples

  • Strong analytical, interpersonal, organizational, problem solving, project management and planning skills
  • Ability to exercise discretion, work independently within broad guidelines, tactfully handle sensitive and confidential data and complete assignments timely
  • Ability to plan, organize and prioritize effectively
  • Highly proficient in Excel, PowerPoint and Word
  • Preferably, experience in analyzing, developing and producing reports and/or MI
  • Experience of successfully providing solutions to day-to-day challenges to the operational effectiveness and efficiency of a centralized function
  • Lateral thinking and ability to solve problems within a complex environment
131

Regulatory & Compliance Lead-loyalty Operations Resume Examples & Samples

  • Eight to ten years of experience as a Product Manager
  • Four or more years of management experience
  • Excellent interpersonal, verbal and written communications skills
  • PC proficiency utilizing a variety of software packages including Microsoft Word, Excel, Powerpoint, Access, etc
  • Strong organizational and analytical skills with detail orientation
  • Ability to manage multiple efforts in a fast paced environment
  • Ability to deploy critical thinking for the purpose of problem solving
132

Consultant, Regulatory Compliance Resume Examples & Samples

  • 3-5+ years of experience in securities and/or working with a Broker/Dealer that directly aligns with the specific responsibilities for this position
  • Educational experience and/or proficiency in securities industry rules, regulations and broker/dealer & investment advisor functions with insurance-affiliated broker/dealer experience preferred
  • FINRA Series 7 Required
  • FINRA Series 24 preferred, or must obtain within 60 days of start date
  • Proficiency in Microsoft Office Suite (Outlook, Word, Excel, PowerPoint)
  • Possesses a bias for action and avoids workplace distractions
  • Drives performance targets to completion
133

Regulatory Compliance Resume Examples & Samples

  • Working experience in audit, compliance, or operational risk (>8 years)
  • Working knowledge of CIB business processes and operations
  • Strong verbal & written communication
  • Strong analytics
  • Self motivated and delivery oriented
134

Lending & Operational Regulatory Compliance Auditor Resume Examples & Samples

  • Perform internal audits for banking clients with primary emphasis in the lending compliance area
  • Review and assess the adequacy of client's internal controls, policy and procedures and ability to meet regulatory compliance requirements relative to the consumer lending products
  • Produce reports that include findings and recommendations for improvement derived from the internal audits
135

Regulatory Compliance Leader Resume Examples & Samples

  • US EPA and US States Federal Insecticide, Fungicide, Rodenticide Act (FIFRA) Biocide Registrations
  • Canada Pesticide Management Regulatory Agency (PMRA) Registration
  • Mexico Cicoplafest for pesticides, fertilizers and toxic substances
  • Other International Pesticide registration requirements
  • NSF Standard 60 Certification for Potable Water Application
  • US Food and Drug Administration (FDA) Compliance with applicable sections
  • US Department of Agriculture self-certification for meat poultry and egg production
  • Health Canada/Canadian Food Inspection Agency (CFIA) certification
  • NSF White Paper Certification, International Food Safety
  • Kosher Certification of products and facilities
  • Organic food and culinary steam certifications
  • Proven ability to problem solve and close gaps
  • Rigorous work ethic
  • Strong desire to exceed
  • Mental agility
  • Ability to deal with ambiguity
  • Strong experience leading cross-functionally
  • Knowledge of product compliance audit processes
  • Strong understanding of how to deliver effective training
  • 4 year degree required, preferably in Chemical Engineering or Chemistry
  • Minimum of 5 years’ experience in regulatory compliance in the Chemical Industry or for Chemicals
  • Bilingual with strong English, including speaking, reading and writing
  • Public company background preferred
  • International experience a plus
136

Regulatory Compliance Practical Engineer Resume Examples & Samples

  • Execute pre-compliance & compliance tests at in-house EMC & Safety test facilities. Provide feedback on product performance and recommended remedies to any non-compliances
  • Writing test reports following EMC & Safety testing performed at in-house and 3rd party labs
  • Capable of analyzing schematics and calculation summaries
  • Capable of interfacing with various levels of the organization
  • Capable of developing well-organized documentation related to testing and evaluations
  • Willing to travel to vendors, labs, or customer sites to provide on-site testing, oversight, and support
  • Ability to work multiple tasks simultaneously
  • Demonstrated ability to work without boundaries to accomplish critical tasks
137

Associate, Regulatory Compliance SQM Resume Examples & Samples

  • Perform periodic supplier written assessments. Recommend action plans to qualify/disqualify suppliers as necessary
  • Review and follow up on supplier questionnaires that are sent to current, or potential, material suppliers, and GxP service providers and assess all aspects of material production or services provided
  • Support SQM site/product launch activity as assigned. Ensure that Corporate SQM requirements are adhered to and that business goals/product launch priorities are met on all assigned projects
  • Conduct supplier audits (desk or onsite)
  • Represent Global Reg Compliance SQM interests/positions for specific, assigned product launch activities
  • Maintain Global Reg Compliance SQM and audit files by ensuring files and/or databases are current
  • Maintain the Global 'approved supplier' list, including all associated data
  • Negotiate quality agreements, seeking both Management and Legal advise/support as needed
  • Support activities related to internal/external compliance audits related to suppliers, report generation and responses of audited departments
  • In conjunction with purchasing department/distributors, interact and follow up with suppliers to ensure timeliness of implementing corrective and preventive action(s)
  • Maintain a current working knowledge of government and industry quality assurance, trends, codes and standards
  • Work with planning/operations management to ensure raw material/component changes are in compliance with FDA and other regulatory agency requirements to meet the Global SQM program requirements and business priorities
  • Respond to GMP-related questions on raw materials/components and advises proper direction
  • Assess test attributes and specifications of raw material/component acceptance criteria; identify trends in critical material properties and recommend preventive actions to prevent potential issues with material/supply quality or other problems
  • 5+ years’ experience in pharmaceutical industry required
  • 5-8 years of experience in: Knowledge of FDA cGMP as described in 21 CFR Parts 11, 210 and 211, as well as applicable FDA and ICH Guidelines required
  • 0-2 years of experience in DEA, Clinical and Pharmaceutical Manufacturing experience is preferred
  • 2-5 years of experience in Intermediate proficiency in use and knowledge of computer systems, applications and databases (i.e., MS Word/Excel/Access) preferred
  • 0-2 years of experience in Working knowledge and experience with ERP enterprise software such as SAP is preferred
  • 0-2 years of experience in FDA/partner inspections is preferred
138

Temp-regulatory Compliance Associate Resume Examples & Samples

  • Assist with periodic regulatory compliance checklist reviews across all programs
  • Assist with the clinical drug release process and provide proactive review and improvement of regulatory department processes
  • Assist with Regulatory department inspection readiness activities (including eTMF uploads of IND/CTA/CMC study approvals) and support department in advance of QA audits
  • Assist with USAN and WHO/INN applications
  • Assist in tracking Post-Marketing Commitments (PMC)/Post Marketing Requirements
  • Support department Financial Disclosure deliverables for regulatory filings
139

Regulatory Compliance Generalist Resume Examples & Samples

  • Lead cross-functional initiatives across Biotechnology, Breeding, Chemistry, Regulatory, Supply Chain and Commercial organizations to develop strategies to support regulated testing plans for new products and secure required federal and/or state regulatory agency approvals in support of those activities
  • Provide leadership to the Regulatory Incident Management Program and support the cross-functional U.S. Compliance Committee to establish and implement policies and procedures related to ensuring compliance
  • Lead continuous improvement efforts with various IT stakeholders to automate current processes, evaluate and implement strategies needed to meet future IT needs
  • Develop and implement procedures, outreach and training programs, audit plans, and other necessary processes to drive continuous improvements to the compliance program
  • Organize and manage compliance data related to federal and/or state regulatory authorities, as appropriate
  • Minimum of Bachelors degree (or higher) in a scientific or technical discipline (Agronomy, Biology, Chemistry, Molecular Biology, or a related field)
  • Minimum of three or more years of work experience in a scientific or technical discipline (Agronomy, Biology, Chemistry, Molecular Biology, or a related field)
  • Knowledge of U.S. regulations specific to either biotech, plant protection/quarantine or chemistry field trial compliance and general knowledge of related industry standards
  • Experience working within a regulated environment or Quality Management System such as ISO 9001 or GxPs
  • Excellent communication (both written and oral) and influence skills with the ability to adapt communication style and content to influence leadership and facilitate interaction with a diverse audience
  • Ability to gather and interpret relevant technical information in order to present conclusions in a clear and concise manner
  • Ability to travel up to 10% of the time
  • Experience developing and implementing compliance programs, quality management and/or audit systems within and across multiple organizations, preferably within an agricultural research or production environment
  • Two or more years of plant biotechnology/chemistry/biologics field trial experience in a regulated environment
  • Knowledge of compliance IT systems
  • Experience working cross functionally
  • Demonstrated communication, influence and critical thinking skills in a team environment and ability to work within the team and across functions to achieve desired results
140

Regulatory Compliance Associate Resume Examples & Samples

  • Entry level evaluation of orders against US export regulations and Tech Data internal policy
  • Basic evaluation of new prospective customers against published denied parties lists (DPL/RPL)
  • Generate and distribute Denied Party List metrics for all screened US and Canada customer accounts
  • Coordinate freight forwarder (FF) approval requests and associated documentation
  • Facilitate monthly regulatory compliance operational volume reports to management
  • Perform market and vendor assignment review according to supplier distribution agreements
  • Generate and distribute commercial invoices as required by internal and external customers
  • Perform data entry, management and tracking functions on import and export process outputs
  • Provide general internal and external customer service and support compliance team initiatives and projects
  • Facilitate requests for order or product information and supporting documents as advised by supervisor
  • Support after hour coverage to Logistics Centers and LA sales teams
  • Performs other duties and assigned by supervisor
  • Able to execute oral and written instructions and to request clarification when needed
  • Able to identify areas of risk/concern in area of responsibility
  • Able to prepare/analyze appropriate reports and other business correspondence
  • Able to answer phone and greet public in a friendly and courteous manner
  • Able to build solid, effective working relationships with others
  • Able to express ideas clearly and convey necessary information
  • Able to use relevant computer system applications (which may include spreadsheets, word Processors, databases, etc.) at an intermediate level
  • Experience operating under medium supervision within established guidelines, able to identify risk and escalate appropriately
  • Working knowledge of data analysis and reporting techniques and methodology
  • Exposure to corporate regulatory concepts such as Export/Import Compliance or operations, other governmental agency requirements (FDA, FCC, etc.) ; Sarbanes Oxley or Internal Audit
  • Experience with process oriented concepts such as flow charts and process mapping
  • Medium to High level of interpersonal skills and customer service skills required. Able to build solid, effective working relationships with cross functional and cross geographical internal and external teams. Able to express ideas clearly and convey necessary information and to identify and present issues and recommendations to supervisor and team
  • Proactive towards regular job duties and procedural efficiency. Ability to prioritize and/or organize against shifting responsibilities. Some problem solving. Basic evaluation and conclusion skills based on regulatory reasoning and practical application of regulations. Some complexity of mental process to achieve in the role in order to come to solutions
  • Occasional non-standard work hours or overtime as business requires
  • Professional, office environment
141

QA Specialist / Regulatory Compliance Resume Examples & Samples

  • Approx. 2 years of professional experience in similar position in pharmaceutical industry
  • Knowledge of current worldwide regulations and guidelines
  • Practical experience in regulatory activities
142

Regulatory Compliance Engineer Resume Examples & Samples

  • Responsible for implementation of applicable regulations, standards and global market requirements for electromagnetic compatibility, energy, acoustics, safety, security, accessibility, and/or environmental features relevant to design and fulfillment of Products/Solutions
  • Assists in identification of regulatory and market access requirements; and provide End to End (E2E) Product Life Cycle management solutions to meet our global Regulatory Country Ship to List (CStL)
  • Provides guidance to design teams, ODMs, Suppliers, 3rd Party Labs, and OEM partners in resolving issues that may arise during the review and evaluation of platform solutions by the various regulatory agencies
  • Assures that all platforms and solutions are compliant with worldwide regulatory emissions, safety and environmental regulatory agency requirements, specifications and policies
  • Prepares schedules, statements of work and functional plans necessary to obtain required regulatory approvals for products
  • Works with various Dell & Supplier factory regulatory teams and variations (Non-Compliances), as needed, to prevent factory shutdowns
  • Works with legal department, as needed, in performing analysis on field incidents, and preparing statements and recommendations that may be provided to Dell customers and/or Government Agencies
  • 8-10 years of relevant experience or equivalent combination of education and work experience in project or regulatory management
  • Educational qualifications in Industry Engineering or Electronic Engineering would be an advantage
  • Knowledge of industry and business principles and places issues in context of organizational and functional objectives
  • In-depth customer knowledge to provide appropriate solutions
  • Ability to apply analytical skills to evaluate and interpret complex situations/ problems using multiple sources of information
143

Senior Regulatory Compliance Advisor Resume Examples & Samples

  • Establishes and maintains compliance standards by maintaining current compliance manuals. Professional standards will be maintained by ensuring that each management/employees are kept informed of changes on a timely basis
  • Maintains a program of periodic visits to FTN offices to audit records and ensure compliance with the laws and regulations involving import and export of goods. When noncompliance is found, works with managers to develop methods to bring the office into compliance
  • Provides guidance to management/employees when dealing with difficult questions of law and policy with regard to government agency requirements. Maintain libraries and reference materials for FTN
  • Coordinates regulatory compliance legal issues by obtaining legal assistance from FTN legal and/or outside attorneys, as needed
  • Identifies major regulatory changes. Analyzes and communicates the regulatory changes to the organization and its customers
  • Represents management and customer interests to various industrial associations, customs, and other gov't agencies
  • Assists in the restricted commodities approval process
  • The incumbent(s) of this position is expected to perform all other related duties as assigned
  • This position will either be located in an FTN California Office or Miami Office
144

Power Generation Regulatory Compliance Practice Leader Resume Examples & Samples

  • Possesses & maintains a deep understanding of how clients perceive their technical problems; and have the ability to package HDR Business Class expertise as solutions to these problems. In turn, support Client Development Leadership in crafting client capture plan strategies
  • Track and monitor status of current and upcoming power plant related regulatory changes. Lead strategic planning for proactive approach to staying ahead of coming regulations and position HDR to be a leader in the market and in thought leadership
  • Provides hands-on mentoring and team participation to create a bridge between Business Class technical resources and client requirements -- acts as the customizing advisor to “configure” HDR resources in a manner expected by specific clients. Mentors HDR staff and Practice Groups in the nuances of client organizations
  • Identifies and develops opportunities to expand services to clients. Coordinate internally to identify and engage qualified resources to support pursuits and project teams
  • Champion a quality and safety-culture within the Sector organization, and within production teams serving the Sector’s clients
  • Client Manager for select clients
  • Manage key projects or programs associated with power generation regulatory compliance
  • Lead risk management activities for both contract reviews and project deliverables. Participate in project quality reviews to maintain consistency across programs and specific project teams
  • Direct the technical messaging; and the professional attendance, at professional organizations and industry events
  • Support technical leadership to identify and develop strategies for world class services
  • Work with Sector Director, Regional Business Group Director and Power Generation Practice Leader to establish direction and growth strategies for the Practice, including strategic hires, acquisitions and emerging opportunities of a national scale
  • Work with Sector Director and operations personnel to establish bookings and NFE goals and strategies, by department, during annual budgeting process
  • Work with Client Development Leadership to prioritize the marketing & business development efforts of the organization to prioritize business efforts that provide maximum return on investment
  • Bachelor's degree in Engineering or in related field
  • 10+ years project and program management-related experience in appropriate discipline
  • Professional registration desired
  • Candidate should have excellent marketing and business development skills in addition to contacts/relationships in respective discipline
  • Previous experience managing staff, clients and contracts, and hiring staff for an engineering consulting firm, is desired
145

Regulatory Compliance Coordinator Resume Examples & Samples

  • Responsible for all company activities related to controlled substances and listed chemicals, including record keeping, reporting, reconciliation, acquisition, storage, distribution, importing, and exporting
  • Responsible for providing support to clients regarding project level inquiries
  • Maintain precise inventory of controlled substances
  • Preparation of Import/Export Permit Applications & Declarations for DEA
  • Support reporting of Automation of Reports and Consolidated Order Systems (ARCOS) & Year End Reporting System (YERS) to the DEA
  • Support reporting to other regulatory bodies for controlled substance activity as appropriate
  • Ensure areas meet regulatory requirements
  • Prepare quota applications
  • Perform Quota calculations and assist with Quota increase requests to the DEA
  • Preparation of DEA 222 Forms for purchases and shipments of Schedule I & II materials
  • Respond to and track client complaints
  • Support activities related to the TrackWise System
  • Support client and government audits
  • Contribute to revision and creation of SOPs
  • Audit for compliance as pertains to Catalent SOPs and regulatory requirements
  • Support Corporate and local Quality policies and initiatives
  • Support compliance for USDA, HHS, state, & foreign regulatory bodies
  • Other tasks as assigned
  • Knowledge of relevant cGMPs and DEA Regulations
  • Capable of quickly learning various software systems including ERP systems
  • Excellent communication, organizational and writing skills
  • Working knowledge in MS Word, Excel and other MS Office components
  • Results oriented
  • Ability to work under pressure with multiple tasks and deadlines
  • Must be a self-starter, be able to work independently and have the ability to multi-task under strict deadlines
  • Prior experience working in Quality Assurance/Regulatory Compliance
146

Associate General Counsel Regulatory Compliance Resume Examples & Samples

  • Advise all Dynavax organizations on regulatory and compliance strategy and matters. This will include commercial, research and development, medical affairs, regulatory and other functions
  • Review and make recommendations concerning the existing compliance program and supervise its continued growth
  • Serve as lead counsel on the company’s cross-functional product Brand Team
  • Function independently as primary reviewer and advisor regarding consulting and vendor contracts and agreements to ensure terms and conditions are in compliance with local, state, and federal regulations, and safeguard the company’s interests as they do so
  • Provide legal support across the organization, including identifying practical solutions that balance the risk/benefit for the company
  • Support the organization in maintaining a work environment that is focused on quality and fosters learning, respect, open communication, collaboration, integration and teamwork
  • Must have a J.D. and be a member in good standing of one state bar (California preferred)
  • At least 3 to 5 years of foundational training as an attorney at a prominent law firm, ideally working with healthcare or biotech clients
  • A total of at least 8 years of regulatory and compliance experience, including experience in the biopharmaceutical or medical device industry
  • Strong knowledge of the healthcare regulatory landscape (especially FDA compliance) and the ability to implement and monitor compliance programs
  • Experience reviewing and negotiating complex agreements, including licensing, supplier and partnership agreements, especially in a healthcare context
  • A history of work with a launched product for which they have become the brand lawyer, or sufficient related experience to fulfill the responsibilities of that role
  • Must be a team player in the truest sense of the phrase; someone who is solutions-oriented and collaborative, able to roll up their sleeves and work effectively with business and legal colleagues
  • A willingness to “do the doing” with respect to matters like contract review and negotiation rather than simply managing others
  • Ability to work quickly—at the speed of a growth company—and balance multiple competing priorities efficiently
  • A demonstrated history of researching laws and industry standards and supporting the implementation of new policies across departments
  • Exceptional written, interpersonal and communication skills
  • Ability to lead as well as collaborate, and function well in a team environment
  • Must be able to work effectively with (and influence) functional units at all levels in the organization as well external parties
  • Sound judgment and excellent decision-making skills
147

Global Banking & Markets Regulatory Compliance Advisory Resume Examples & Samples

  • Ten years+ in the banking and/or securities industry experience, at least three years of which should be with a GBM (investment banking) business focus
  • An understanding of all significant regulatory compliance requirements applicable to B&CF businesses and typical policies such as Control of Information/Chinese Walls, Insiders Management/Wall-Crossings, Conflicts Management and Clearance, Allocation and Price Stabilization procedures
  • Experience of working within a matrix environment preferred
148

Associate, Regulatory Compliance Resume Examples & Samples

  • Participate and lead components of financial analyses and financial projections associated with hospital initiatives including facility expansion, joint ventures, and clinical service line development
  • Research, data collection and analysis, and preparation of summary presentations
  • Perform analysis of healthcare demographic databases and healthcare demand
  • Execute analysis of historical trends in clients’ financial performance, assess financial projection assumptions, and prepare financial projections
  • Prepare client discussion documents and write reports
  • Two years of experience in the public, government and/or healthcare industry performing financial analyses and preparing financial projections with a strong understanding of healthcare financial reporting and performance metrics
  • Bachelor’s degree in a related field from an accredited college/university
  • Extensive experience working with Excel, Word, PowerPoint, and other data analysis tools
  • Experience with auditing or preparing Medicare or Medicaid Cost Reports and knowledge of the Medicaid and Medicare programs is preferred
  • Experience with the Centers for Medicare and Medicaid Services Final Rule, 42 CFR Parts 447 and 455, for Medicaid Program; Disproportionate Share Hospital Payments experience is preferred
  • Commitment to delivering quality services on a timely basis
149

Quality & Regulatory Compliance Leader Resume Examples & Samples

  • Lead maintenance and improvement of a global business-wide quality management system that aligns to both automotive and aerospace standards, meets customer and regulatory requirements and creates a competitive business advantage in the Automotive and Aerospace areas which we serve
  • Develop product quality management strategies to enhance design understanding and manufacturing consistency and control. Lead business product quality assurance activities in the areas of product development, commercialization, and change management
  • Ensure product portfolio maintains applicable product quality standards given internal product changes and external standard development and implementation
  • Lead the Quality functions at plant sites falling under the Aearo Technologies LLC responsibility, including direct reporting, objective setting, quality management deployment and product quality assurance and control practices
  • Create and implement global quality and regulatory strategies. These strategies need to be aligned to global regulations, customer requirements and the business strategic plan
  • Serve as the Management Representative and sit on the Management Operating Committee for Aearo Technologies LLC
  • Lead contractual negotiations for quality agreements with Automotive and Aerospace Quality and Regulatory Senior Leaders
  • Implement strategies to achieve best practice 3M corporate quality goals on a global basis within the Aearo Technologies LLC business
  • Maintain and expand in-depth knowledge of global quality & regulatory requirements and through external training and industry networking
  • Develop solutions for highly complex and multi-faceted problems, which require ingenuity, creativity, innovation, and strong analytical skills
  • Take initiative to proactively encourage cross-functional support and relationships to more effectively implement programs and process in support of meeting the division’s plans and objectives
  • These objectives must be accomplished through adept utilization of the Aearo Technologies and 3M matrix
  • Bachelor’s degree or higher in a Science, Engineering or Business discipline from an accredited institution
  • Minimum of five (5) years of combined experience in Quality or Quality Management Systems working in a regulated industry
  • Master’s degree or higher in a Science or Management discipline from an accredited institution
  • Minimum three (3) years of experience working in a Quality leadership position within a regulated business
  • Knowledge of International Organization for Standardization (ISO) 9001, ISO/Technical Standard (TS) 16949 and Aerospace Standard (AS) 9100
  • Certification(s) or willingness to obtain American Society for Quality
  • Certified Manager of Quality/Organizational Excellence (CMQ/OE) and/or
  • Certified Quality Auditor (CQA)
  • Demonstrated ability to work and lead global cross-functional teams
  • Experience leading a global quality organization with a significant number of direct reports
  • History of contributions to a staff on quality and regulatory issues on a global basis
  • Demonstrated ability to lead, motivate, influence and coach personnel on the planning and execution of programs leading to the achievement of the division’s plans and objectives
  • Demonstrated ability to develop, implement and improve Quality and Regulatory business processes which improve the efficiency and effectiveness of the unit in order to achieve its plans and objectives
  • Demonstrated ability to work and lead in a cross functional environment including subsidiaries to lead large change initiatives, implement key programs or processes. Also, has the ability to work successfully with customers, industry peers and regulatory agencies
  • Demonstrated ability to oversee and implement Automotive and Aerospace quality management systems
  • Excellent communications skills (oral, written and presentation) with the ability to influence at all levels
150

Quality Improvement Regulatory & Compliance Resume Examples & Samples

  • Participation in the training and on-going education of the Medical Management staff
  • Collaboration with the Director and Regional Directors of Population and Personal Health Management on quality issues
  • Acting as a resource to Team Leaders and Medical Management Nurses for quality processes, compliance with federal and state regulations, and compliance with the standards of IMMS accreditation bodies
  • Identification of improvement needs and implementation of related new or revised processes
  • Participation in the processes necessary for compliance with federal and state regulations and with the standards of IMMS accreditation bodies
  • Participation in the state Utilization Review licensing process
  • Participation in the registered nurse licensing process
  • Bachelor’s degree in Nursing (BSN) with current RN license,
  • Eligibility for unrestricted professional licenses in all states,
  • Certification in Case Management,
  • A minimum of 5 years clinical nursing experience,
  • A minimum of 3 years experience in the delivery of Medical Management Services,
  • A minimum of 2 years supervisory/management experience in Medical Management Services, and
  • A minimum of 3 years Quality Management experience in Medical Management Services
151

Senior Regulatory Compliance Consultant Resume Examples & Samples

  • Develop and maintain education, policies and procedures, and monitor compliance for billing and/or charge capture
  • Monitor, assess, and mitigate key risks related to billing and charge capture requirements
  • Develop and maintain Corporate Standard Drug Chargemaster and associated tools including Drug Multiplier functionality, MCR OPPS and TRICARE OPPS payer tables and MAC SAD lists
  • Develop and maintain Master Files for NDC/Drug waste reporting functionality including NSDE file retrieval and coding
  • Research and respond to Helpline requests pertaining to drugs, pharmacy services, and clinical trials for hospitals, ASCs, physician offices and other HCA entities
  • Review and maintain education for NCD/LCD/LCA related to drugs and clinical trials
  • Disseminate pertinent information to assist entities in maintaining compliance with regulatory requirements
  • Identify and prioritize high risk areas requiring regulatory and operational support for appropriate billing and charge capturing for governmental payers
  • Provide support to new service lines for Pharmacist Services. This support would include education, training, development and deployment of regulatory/operational tool kit, analyze data and implement billing edits
  • Conduct research and obtain clinical input from facilities, physicians, Supply Chain and CSG on pertinent billing and charge capture areas
  • Identify, investigate and/or resolve potential billing compliance issues
  • Review monitoring and audit results to identify additional follow-up, education, and support needs
  • Conduct follow-up with facilities to ensure that appropriate corrective action is taken in response to monitoring and audit findings
  • Assist Ethics and Compliance and legal operations in investigating potential compliance issues as requested
  • College graduate, Pharmacist or Certified Pharmacy Technician
  • Clinical background (e.g., Pharmacist, Pharmacy Technician, Nurse) with experience in charge capture, auditing, chargemaster maintenance and/or billing expertise for drugs and clinical trials
  • Strongly prefer the individual to be based in Nashville
  • Knowledgeable about governmental regulatory environment
  • Knowledgeable about billing regulations and experience with billing edits
  • Strong PC skills with proficiency in Microsoft Word, Excel, Access, and Powerpoint
  • Knowledge of Meditech Pharmacy, Onbase, HPF, Epic Pharmacy, Cerner Pharmacy, Patient Accounting, eTran, Business Objects desirable
152

Regulatory Compliance Coordinator Resume Examples & Samples

  • Determines the organization’s current and ongoing compliance with Joint Commission/regulatory standards and provides/coordinates education when opportunities are identified
  • Promotes culture of continual survey readiness, acting as a resource for CTMC leaders and staff
  • Supports the Vice President of Quality with pre-survey and on-site survey activities
  • Facilitates action plans and related responses to regulatory and accreditation body inquiries/reports regarding citations and deficiencies
  • Leads and instructs others in policy/procedure development to support standards compliance
  • Develops appropriate monitoring to verify standards compliance
  • Coordinates and promotes patient safety initiatives in alignment with The Joint Commission National Patient Safety Goals, National Quality Forum Safe Practices, and the Institute for Healthcare Improvement quality initiatives
  • Reports/participates in Quality Steering Committee, EOC, and other committees as assigned
  • Utilizes Meditech, Comet, and other data collection systems to gather valid data that reflects compliance with regulatory and national patient care standards
  • Participates in special data collection and analysis projects as needed
  • Identifies opportunities for process improvement through review of patient complications, mortalities, and readmissions
153

Medicare Regulatory Compliance Risk Advisor Resume Examples & Samples

  • Strong critical-thinking skills
  • Are self-motivated and possess the ability to manage multiple priorities and work under pressure to meet deadlines
  • Strong PC skills including web-enabled technologies such as internet-based applications; Microsoft Word, Excel, PowerPoint, Access and Project
  • Have prior background working in a compliance related area
154

Regulatory & Compliance Engineer / Architect Resume Examples & Samples

  • Civil
  • Chemical
  • Environmental Engineering
  • Experience or knowledge in Civil, Chemical, or Environmental Engineering
  • Engineering in Training (EIT) Certification
155

Junior Regulatory Compliance Engineer Resume Examples & Samples

  • Support NPI and Sustaining RC Engineers in certifying new and maintaining current certification status of production product
  • Monitor testing at third party test facilities and certifications
  • Collect, review, define test setup, RC test plans and release reports, and certifications
  • Ensure suppliers comply with domestic and international RC regulations
  • Experience with overseas ODMs a plus
  • Candidate must be able to write technical documents clearly and concisely
  • Maintain international RC Standards Library
  • Assist in RC program and product management; track budget, invoices, schedule, etc
  • Fulfill responsibilities under ISO 9001 and 14001; understand and fully support IS0 system
  • Comply with Health and Safety requirements of Belkin
  • Maintain a safe and clean work environment
  • Understand and follow company rules and regulations
  • Perform all other duties as assigned and required
156

Rn-regulatory Compliance Resume Examples & Samples

  • Research and analyze TJC, DNV, CMS, State and other regulatory agency requirements and issues; educate staff accordingly
  • Facilitate improvement activities related to regulatory accreditation non-compliance
  • Develop internal audits, mock surveys and self assessment tools in collaboration with operational managers and directors
  • Analyze reports and data from regulatory agency evaluations, self-assessments, and investigations, Develops summaries and recommend action plans
  • Coordinate and perform activities relative to the regulatory surveys
  • Responsible for collaborating with departments to ensure licensure requirements are appropriately documented
  • Ensures availability of current references of regulatory agency standards and communicates changes to management
  • Demonstrated knowledge of hospital accreditation requirements and regulatory requirements
  • Demonstrated human relation and effective communication skills
  • Project Management experience
  • Previous regulatory, compliance, and accreditation experience
157

Director Regulatory Compliance & Business Support Resume Examples & Samples

  • Academic degree
  • 10-12 years relevant experience in pharmaceutical industry and/or Health Authorities, of which a significant part working in a regulatory compliance environment
  • 10-12 years relevant experience in pharmaceutical industry and/or Health Authorities, of which a significant part working in a regulatory affairs and regulatory compliance environment
  • Excellent knowledge of the EU regulatory system, organization and procedures. Affinity with non-EU EMEA regulatory systems
  • Experience in working in a matrix organization
  • Strong interpersonal, communication, teamwork and negotiation skills; ability to influence without authority
  • Ability to work in a matrix organization and participate effectively both independently and as part of multiple multidisciplinary teams
  • Able to analyze complex information and situations and to formulate clear strategic and tactical advices
  • Good understanding of Regulatory and GxP
  • Continuous development into current regulations, guidelines and industry standards
  • General understanding of business partners need’s
  • Excellent English, verbal and written
  • Result-oriented accurate and conscientious
  • Flexibility in work hours and reachable in case of emergencies
  • Readiness to travel; amount of travel is mainly based on a case by case basis
  • Willingness to assist/help others
158

Regulatory Compliance, VP Resume Examples & Samples

  • Manage and coordinate all aspects of targeted regulatory examinations, including the preparation of business lines, timely review and submission of requested materials, facilitate meetings with senior business representatives and regulators as well as tracking and responding to any ongoing requests
  • Monitor and understand the changing regulatory environment to ensure policies, procedures and key stakeholders are kept current with relevant changes
  • Closely coordinate with multiple levels of BlackRock management and governance forums to help address regulatory requirements or inquiries on a timely basis
  • Provide periodic input into reporting and metrics provided to senior management
  • Demonstrate the ability to work in a fast-paced environment with multiple deadlines
  • Demonstrate a proficiency in or willingness to learn various areas of financial regulation and the knowledge or willingness to learn about the operations of a large asset management company
  • Previous investment management compliance or direct OCC, SEC, or ERISA regulatory experience is beneficial
  • Minimum of 5 years of legal, regulatory, compliance or operational experience at a financial institution is preferred. Relevant experience at a large law firm or a federal regulator will also be considered
  • BS/BA required; JD or other relevant graduate degree is preferred
  • Candidate will possess a positive attitude and be a global team player
  • Excellent organizational and project management skills, attention to detail, and inter-personal skills
  • Ability to make decisions and exercise discretionary authority necessary to successfully perform job duties
  • Proficient use of Microsoft Office including Word, Excel and PowerPoint
159

Banking Regulatory Compliance Consultant Resume Examples & Samples

  • Lead the development and recommendation of policies, procedures and act as a subject matter expert to ensure regulatory compliance and best practices are met
  • Implements compliance program and business initiatives when it relates to compliance for different functional areas within our financial services clients
  • Analyzes new and pending laws and regulations which directly affect banking practices; develops or revises appropriate policies, procedures, controls, reporting, contracts and agreements to ensure compliance. Implementation of those laws and regulation by state
  • Acts as compliance representative in projects involving new or changes to existing regulatory impacted materials
  • Perform testing of regulatory compliance and direct remediation of compliance risk issues
160

Accountant, Regulatory Compliance Resume Examples & Samples

  • Key to the delivery of the integrated plan in order to meet Risk, Compliance and Regulatory requirements
  • Understanding and implementing the company methodologies for testing and documentation
  • Ensuring the accuracy and effectiveness of the processes in order to resolve any issues
  • Delivery of high quality customer service and advice to the wider Group
  • Co-ordinating and participating in workshops with the team
161

Regulatory Compliance Senior Project Manager Resume Examples & Samples

  • Lead cross-Optum large capital impact regulatory and compliance initiatives to comply with CMS and state/local regulations
  • Lead or help develop program or project scope statements, in consultation with applicable stakeholders (e.g., program/project charter, Statement of Work, Business Vision Document)
  • Partner with Product and Operations development teams to develop and maintain the portfolio roadmap, including resource analysis, capital management, prioritization, and timing
  • Work with resource managers to drive the identification of the skills, duration and effort required for successful project execution
  • Support development of project managers and/or business analysts that support the execution of the portfolio projects
  • Fill in on project where there may be any resource gap – Business Analysis, Testing, etc. Must be a ‘doer’ and comfortable to fill in for any position
  • Collect, analyze, and maintain financial forecast information (e.g., labor, hardware, software), using input from applicable sources
  • Establish / apply quality objectives, criteria, standards and levels using appropriate quality management methods, with stakeholder input (e.g., key performance indicators, scope definition)
  • Develop, communicate and implement program/project risk/issue management plans and strategies (e.g., mitigation, avoidance, transfer, acceptance)
  • 3+ years regulatory compliance experience with CMS and state / local driven guidelines
  • 3+ years of experience working with Business Stakeholders within a Cross-Functional matrix environment
  • 2+ years of experience leading large enterprise-wide cross-functional teams to successfully execute business objectives
  • 2+ years of experience with full product lifecycle with understanding of development lifecycle and various technology methodologies that support that lifecycle
  • Proven ability to work in an ambiguous environment and collaborate across multiple areas in order to achieve a common business objective
  • Intermediate level of proficiency with MS Project, Excel, Visio, PowerPoint and SharePoint
  • Previous experience with gathering requirements from the client / business and documentation
  • Experience presenting to stakeholders and/or Senior Leadership
  • Strong executive communication and presentation skills with demonstrated ability to communicate ideas clearly and concisely
  • Excellent time management, organizational, and prioritization skills and ability to balance multiple priorities
  • Proven ability to demonstrate a drive for results and accountability of business needs
  • Ability to gain acceptance for ideas, plans, actions and then implement flawlessly across organizational boundaries
  • Must work out of our Optum Headquarters in Eden Prairie, MN or our Overland Park, KS or Hartford, CT locations
  • Familiarity with Administrative Simplification provision under the Patient Protection and Affordable Care Act (ACA) and / or Medicare Access and CHIP Reauthorization Act of 2015 (MACRA)
  • Business operations strategy definition and execution in a matrixed organization
  • 3+ years of experience working with CBAs and Business Case development
  • Previous experience with Healthcare industry
  • Familiarity with Optum and Optum’s products & services
162

AML & Regulatory Compliance National Leader Partner Resume Examples & Samples

  • Proven excellence in the successful application of regulatory compliance expertise in a consulting, financial institution or regulatory environment
  • Proven experience with federal regulatory compliance laws and regulations in a financial institution, financial institution regulatory agency or consulting capacity
  • Successful track record of team leadership
  • Significant experiencein managing client relationships and leveraging them into new business advisory opportunities
  • 15 + years' experience with federal regulatory compliance laws and regulations in a financial institution, financial institution regulatory agency, or consulting capacity
  • Bachelor's degree; masters preferred
  • Practice development, management, marketing and thought leadership
  • Technical certifications such as CRCM or CAMS
163

Regulatory Compliance Review Analyst Resume Examples & Samples

  • High School Degree and Bachelor's degree and or equivalent education or experience
  • 2-4 years applicable experience in regulatory compliance-related work
  • Ability to develop and maintain close working relationships with assigned businesses. Excellent oral and written communication skills
  • PC literacy (MS Word, Excel, and Access or other database experience)
  • Strong organizational skills, including ability to prioritize several projects at a time
  • Thorough knowledge of banking laws and regulations and understanding of the financial services regulatory and compliance environment
164

Business Quality & Regulatory Compliance Director Resume Examples & Samples

  • Ensure timely and consistent escalation of events
  • Ensure compliance to all applicable quality standards & regulatory requirements, coordinating the timely and effective deployment of J&J Standards requirements
  • Establish and lead J&J/MD&D/EMEA‘s QM framework in the Emerging Markets region
  • Embed Quality Management System (QMS) management principles in the countries organization & drive continuous improvement
  • Establish corrective & preventive actions to mitigate potential or actual non-compliance risk
  • Drive simplification & standardization of QS in the region in line with J&J/MD&D strategies & initiatives
  • Track corrective action plans and mitigation/remediation plans for External Audits (Notified Bodies, Health Authorities etc), JJRC audits & QScan
  • Set Business Quality (BQ) targets, ensure effective flow down and monitor performance
  • Supervising the Field Actions and Complaints management in CEE, coordinating with Regulatory Affairs the notification to local Competent Authorities. Management of Pharmacovigilance per local country and J&J Franchise requirements (as applicable)
  • Develop, lead and maintain an comprehensive audit readiness program for the EMEA region to ensure internal and external compliance
  • Connect with the leaders in the region to align on strategy for audits in the region
  • Demonstrate Leadership behaviors expected by J&J Credo and Leadership Principals
  • Drive accountability for compliance to foster a compliance driven culture
  • Establish local and regional relationships with RA, business partners and internal/external QRC groups
  • Build and further develop capabilities in the region to enable flawless execution & good business outcomes
  • Create a leadership structure and team to cover the Emerging Markets, in line with J&J POL-001 requirements
  • Develop a robust QRC structure in the region and drive change as needed to enhance capability
  • Connect with the business leaders in the region through active participation as the Quality representative for Emerging Markets in relevant Quality Councils and Leadership meetings
  • Maintain current knowledge of regulatory changes through industry publications, seminars, professional affiliations and industry meeting
  • Leadership in accordance with J&J principles and values
  • Strong Quality System knowledge and understanding of Regulatory Compliance requirements for relevant market
  • Strong business partnership with Commercial Leadership with understanding of Business needs and activities.Quality (Generalist)
165

Senior Analyst Regulatory Compliance Monitoring & Testing Resume Examples & Samples

  • Good understanding and experience of Regulatory Compliance and/or Financial Crime regulations
  • Minimum of a Bachelor degree in business, law, accountancy or related field or equivalent experience
  • Awareness of good risk management and governance frameworks including 3 lines of defense criteria
  • Proven team player with an open communication style
166

Consultant, Regulatory Compliance Resume Examples & Samples

  • 4-7 years of 1940 Act /Mutual Fund regulatory compliance experience
  • Strong knowledge of 1940 Act Fund regulations/Mutual Fund space and the Charles River system (Compliance module) usually acquired through related work experience
  • Able to extract rule language from a prospectus, translate to a matrix, and code rules/guidelines in the Charles River application. Keen analytical and problem solving skills
167

Senior Regulatory Compliance Counsel Resume Examples & Samples

  • Drive execution of MasterCard’s compliance with obligations resulting from the interchange fee regulation, including the separation of scheme and processing
  • Coordinate and be responsible for successfully meeting MasterCard’s obligations resulting from licenses within Europe
  • Act as the Lead on the timely submission of reporting obligations within Europe
  • Create a positive working relationship with regulators that are tasked with ensuring MasterCard’s compliance
  • Work in close collaboration with the European Regulatory team
  • Enable the cross-pollination of submissions with the Global Regulatory team
  • LLB or JD from an established and reputable law school
  • Significant experience in a regulatory or compliance position in a corporation, association or government context and/or as a regulatory attorney in a law firm (preferably in the payments industry, banking or financial services sector)
  • Proven success in navigating multi-national organizations and operating effectively within a diverse multicultural organization
  • Must demonstrate a proactive, time sensitive, results driven approach in carrying out all duties, obligations and responsibilities
  • Fluency in English (written and spoken) is a requirement. Excellent written and oral communication skills a must
168

Consulting Associate Banking Regulatory Compliance Resume Examples & Samples

  • Work individually or as part of a team to provide project execution on client engagements
  • Contribute to strong client relationships through positive client support and sound expertise
  • Using proven tools and techniques, execute project deliverables in a manner consistent with our client's business objectives
  • CRCM or CCBCO certifications
  • Experience working for the FDIC, CFPB, OCC or financial agencies with banking or as a compliance officer
  • Excellent verbal, written and interpersonal communication skills
169

Regulatory Compliance Engineer Resume Examples & Samples

  • Execute pre-compliance/compliance evaluation tests at in-house EMC & Safety test facilities. Provide feedback on product performance and recommended remedies to any non-compliances
  • Aiding in the development and oversight of the test setups for testing
  • Providing technical support, guidance, and justifications related to testing processes and methodologies based on appropriate customer and industry regulations, requirements and guidelines
  • 2+ Years of Experience in HW qualification testing/HW verification testing/EMC testing (UL,CE, FCC, CISPR 22 etc)
170

Regulatory Compliance Team Lead Resume Examples & Samples

  • Partner with Regulatory Compliance Team Leads on management of regulatory compliance activities, providing direction and driving delivery of the regulatory compliance program
  • Staff management, including performance and development management
  • Manage the execution and delivery of certain key activities undertaken by the EMEA Regulatory Compliance and Governance team, including but not limited to
  • UK regulatory interaction handling and tracking, in particular regulatory breaches and issue management
  • Further the development of effective operational processes and controls
  • Coordination of MCA testing and PRC oversight
  • Support UK Individual Accountability, Certification Regime and Exchange Registration processing
  • Support UK legal entity management and UK regulatory compliance reporting requirements
  • Assist with EMEA regulatory exam management and regulatory interaction governance initiatives
  • Contribute to the design and implementation of UK regulatory compliance tracking and metrics
  • Provide advisory support on related EMEA Regulatory Compliance policies, procedures and controls, acting as an escalation point for the wider team
  • Participate in the development, implementation and/or maintenance of processes, procedures and controls to ensure compliance with any new and current regulatory guidance and Citi policy
  • Provide assistance on ad hoc projects and key initiatives as required, which may be local, regional and/or global, including but not limited to EMEA Regulatory Governance development
  • Participate in cross-functional initiatives across the Belfast office and broader EMEA Compliance department, fostering and maintaining good relationships with all businesses
  • Engage with initiatives arising from the wider Belfast Compliance team and EMEA Compliance Department in general, with a view to supporting strategic oversight and co-ordination
  • Experience in management role and leading change
  • Effective leadership skills, development and coaching of staff
  • Extensive experience in a Compliance role or other Control Function
  • Experience with sensitive, confidential and/or regulatory related communications
  • Project Management experience and/or proven ability to manage competing priorities and tight deadlines
  • Experience with UK FCA Connect and UK FCA GABRIEL systems an advantage
  • Effective team management
  • Excellent interpersonal and team-building skills Motivated, enthusiastic and positive
  • Highly organised, efficient and ability to manage competing priorities Excellent judgement and analytical skills
171

Human Resources Compliance Mgr-enterprise Regulatory & Compliance Resume Examples & Samples

  • Americans with Disabilities Act
  • Fair Labor Standards Act
  • Equal Employment Opportunity Act
  • Equal Pay Act
  • Pregnancy Discrimination Act
  • Age Discrimination in Employment Act
  • Family and Medical Leave Act and Occupational Safety and Health Act
  • Documenting and maintaining the company’s Human Resources (“HR”) Compliance Program, which articulates how each facet of the company’s compliance framework is applied to manage compliance risk within HR
  • Conducting routine compliance risk assessments of HR business units to establish inherent risk, control effectiveness and residual risk
  • Establishing independent compliance testing plans based on risk assessment results
  • Implementing routine monitoring activities by partnering with the HR organization, including the establishment of compliance key risk indicators across the HR function to assess compliance risk
  • Monitoring and assessing regulatory changes, industry developments and best practices that may impact the company’s HR compliance program, conducting impact assessments and partnering with the HR organization to establish implementation plans
  • Performing routine compliance risk reporting to senior management on current and emerging HR compliance risks, regulatory changes, and effectiveness of the HR compliance program
  • Assessing HR compliance risk as part of new initiatives or changes to existing processes
  • Coordinating with, as appropriate, key stakeholders including the information security, privacy, legal and other compliance partners as appropriate to assess compliance risks
  • Identifying training needs and creating HR compliance training as required
  • Independently overseeing the HR employee complaints management process to ensure that complaints are handled consistent with applicable law and SunTrust policies, and complaints management processes align with regulatory requirements and best practices
  • Facilitating the management of regulatory examinations impacting the HR organization, assisting in the creation of management responses to regulatory matters and inquiries, and participating in the resolution of audit issues
172

Program Manager, Brqc Regulatory Compliance Resume Examples & Samples

  • A Master’s degree in a related field or other advanced degree is desirable
  • A minimum of 8 years of relevant experience with at least 3 years’ of leadership/management experience in the Pharmaceutical, Medical Device and/or Consumer/OTC industry working on complex and significant GxP compliance topics is required
  • Strong knowledge of Medical Device regulations is preferred
  • Experience working with diagnostic and/or cosmetic product classifications is desirable
  • Comprehensive working knowledge of at least one of the following areas is required: worldwide GCP, GLP, and/or PV (Pharmacovigilance) compliance regulations
  • Must be capable and resourceful in the use and navigation of current/emerging technology/tools to further the Regulatory Intelligence program
  • Must be capable of navigating and analyzing high volumes of information
  • Knowledge of latest auditing, investigation and remediation techniques is preferred
  • Experience working directly with Regulatory/Health Authorities is preferred
  • Fluency (both oral and written) in English is required. Fluent means that you are completely comfortable communicating on a detailed, professional level
  • The preferred location for this position is at a J&J Operating company in Europe or Northeast US. Preferred US locations included Raritan or Titusville, NJ; Spring House or Horsham, PA. Considerations will be made for other J&J operating sites
  • Position may require up to 20-30% domestic/international travel depending on business needs.R&D
173

Director of Healthcare Environment of Care & Regulatory Compliance Resume Examples & Samples

  • Subject Matter Expert (SME) with a comprehensive understanding of the CMS Conditions of Participation and The Joint Commission Environment of Care Standards
  • Collaborates with the Account Director, Account Leadership Team and Regional Facility Directors in the development of protocols and processes (SOP’s) associated with the Joint Commission Environment of Care Standards and all other applicable Regulatory Agencies
  • Develops and implements standardized processes for conducting compliance audits at each Hospital to determine Operational Readiness/Preparedness
  • Utilizes field audit data/information to prepare specific action/improvement plans for each Hospital/Site
  • Serves as quality and compliance liaison between JLL and Adventist Health
  • Maintains working knowledge and ensures compliance with the Master Services Agreement (MSA) and any other relevant amendments or appendices which guide JLL’s relationship with Adventist Health
  • Attends and actively participate on Governance Council, Corporate Community of Practice Committee, Site Environmental Rounds, Documentation Reviews, Fire / Life Safety inspections and Statement of Condition reviews and audits
  • Provides Account Wide education to JLL staff on applicable regulatory processes and procedures while also communicating literature-based ideas with regard to effective quality/compliance strategies
  • Determines the degree of compliance with applicable standards, as directed by JLL management, specifically in the areas of NFPA101 Life Safety Code-SOC/PFI/ILSM, Safety Management, Security Management, Bio-Hazardous Waste and Hazardous Materials Management and Waste
  • Tracks, trends and recommends action plans with regard to KPI/SLA below standard performance (MSA Driven)
  • Develop in partnership with the client and JLL Account Leadership team reporting tools and metrics specific to established KPIs, SLAs for tracking monthly, quarterly and annual outcomes/results specific to MSA contractual requirements
  • Responsible for the Employee Health & Safety (EH&S) requirements for JLL employees. Act as the account corporate EH&S liaison, therefore meeting corporate initiatives
  • Act as the educational compliance lead
  • Responsible for the account Accident Incident Management System (AIMS) reporting requirements
  • Manage the MasterControl employee compliance education program
  • BS degree required, preferably in an Engineering discipline
  • Five years of hospital experience in Plant Operations and/or Safety Management
  • Experience in hospital systems with multiple hospital locations in several states, preferred
  • Previous Experience in a Joint Commission Survey Audit/Survey
  • CHFM and/or CHSP certification desired
  • Quality Management Training/Certification (i.e. Six Sigma Green Belt/Black Belt), desired
  • Working Knowledge of Joint Commission Environment of Care Standards (required) to also include but not limited to Safety Code (NFPA101)
  • Participation in CMS validation surveys (Preferred)
  • Proficient in Microsoft Office Suite of products, strong writing skills
  • Strong analytical, organizational, and coordination skills required
  • Demonstrated communication skills (oral and written) required
  • Customer service orientation and strong presentation skills to internal and external parties required
174

Regulatory & Compliance Project Manager Resume Examples & Samples

  • 3+ years of related work experience
  • Previous Compliance background
  • Knowledgeable in Operations of MLTC, Medicare Advantage, FIDA and MAP programs
175

Team Lead, Regulatory Compliance Resume Examples & Samples

  • 6 - 10 years of 1940 Act /Mutual Fund regulatory investment compliance experience
  • Excellent working knowledge of the Charles River application (Compliance Module) including a clear understanding of rule coding
  • Management related experience acquired through an advanced degree program or related work experience is preferred
  • Strong knowledge of 1940 Act Fund regulations/Mutual Fund space and the Charles River system (Compliance module)
  • Able to determine rule language from a prospectus, translate to matrix, and code rules in Charles River
  • Keen analytical and problem solving skills
  • Great process and procedure development skills
  • Strong interpersonal skills with the ability to establish credibility and foster excellent working relationships with internal and external partners
176

AP Analyst Safety & Regulatory Compliance Resume Examples & Samples

  • Acts as liaison with Stores and Legal Department on store level regulatory compliance issues. Ensures that all paperwork and notices delivered to stores by regulatory agencies are properly addressed
  • Works with Legal Department to draft responses to regulatory agencies for store related compliance issues or inquiries
  • Manages safety related reporting obligations for Asset Protection Department. Responsible for cross-training select members of the Asset Protection team on report creation functions
  • Ensures delivery of weekly reporting of company workers compensation and general liability activity for use in the Asset Protection Department (e.g.: Weekly Score Cards, Chargeback Assessments, etc.)
  • Conducts worker’s compensation and general liability root cause analysis
  • Assists in the creation and publishing of various components of the Safety Program via multiple communication mediums
  • Develop, manage, update and streamline Safety SOPs in order to better support “R” Efficiency in the stores and to ensure alignment with Asset Protection and Company strategies
  • Works with various members of the Asset Protection and Store Communications team to draft and create On-Demand Learning Presentations for distribution to Store teams
  • Critical member of Crisis Management team during official activations of the Asset Protection Operations Center
  • Participates in various HQ based safety project committees
  • Facilitates safety reviews of store displays and fixtures
  • Facilitates training of Asset Protection Analysts in utilization of Situation Response incident reporting and Crisis Management procedures
  • System administrator for crisis management and injury reporting databases
  • Bachelor’s degree in business or safety related field preferred
  • CSP or CPP certification preferred
  • 5-7 years of relevant business experience in a retail environment
  • Previous experience in developing and implementing Safety programs and SOP’s
  • Prior experience in working with OSHA and other regulatory agencies
  • Thorough knowledge of workers compensation and general liability claims processes and reporting systems. Knowledge of CS Stars system a plus
  • Strong understanding of Retail Compliance Regulations and Codes including OSHA, ADA and Life Safety code
  • Demonstrated leadership skills with training and developing personnel in Situation Response and Crisis Management protocols
  • Self-motivated and works with a sense of urgency
  • Strategic thinking and independent decision making ability
  • Resourcefulness, flexibility, and resiliency
  • Ability to influence, hold accountable, and provide objective feedback to others on cross-functional projects and initiatives
  • Strong organization, planning, time, and project management skills
  • Strong writing and verbal communication skills
  • Experience managing and enhancing talent
  • Strong ability to quickly and seamlessly adapt to shifting priorities
  • Proficiency in Microsoft Word, Excel, Access, & Outlook
  • Working knowledge of MS Project a plus
177

Regulatory Compliance Engineer Resume Examples & Samples

  • Ensuring that AR products are safe, compliant, operationally and cost effective
  • Work with certifying agencies and organizations to ensure new and existing designs comply with local, regional and national regulations
  • Collaborating with the product team program managers, architects and engineers to educate on regulatory requirements for new and existing products and to consult on compliant design development through test and validation activities
  • Partner with 3rd party labs to test and validate AR products and support testing from a hardware and software perspective
  • Participate in certification of AR's industrial equipment
  • Partner with AR suppliers to communicate regulatory requirements and verify compliance
  • Bachelor's degree in science or engineering
  • 5+ years of engineering experience, preferably in the automation, medical or industrial equipment industry, with exposure to safety engineering in product development
  • Knowledge of UL standards, EU directives and OSHA regulations including machinery standards and functional safety, e.g. NFPA 79, EN 60204, EN ISO 12100, IEC 61508, IEC 62061 and EN ISO 13849
  • Knowledge of EMC regulations pertaining to FCC, Industry Canada, EN 55011, EN 61000-6-x, etc
  • Experience in documenting product requirements extracted from industry safety and EMC standards
  • Experience in risk management and performing risk assessments
  • Experience certifying new products
  • Experience supporting EMC and Safety programs by means of identifying equipment needs, documentation needs, support equipment needs, staging and support of equipment to be tested, debug capabilities, etc
  • Experience interacting with customers, regulatory agencies, test labs, etc
  • Willingness to travel and work offsite at partner labs
  • Ability to multitask in a high energy environment
178

Senior Fleet Regulatory Compliance Consultant Resume Examples & Samples

  • Ensure compliance with regulations as they apply to fleet operations. Develop, maintain and provide oversight for the administration of DOT driver qualification files and various fleet safety programs. Advise on HAZMAT regulations as they pertain to fleet operations. Ensure data collected accurately reflects Xcel Energy performance; lead effort to correct faulty data. Support pre-employment decisions by aggressively utilizing the Federal Motor Carrier Safety Administration Pre-Employment Screening Program. Coordinate/oversee development, enhancement of data systems and training requirements to meet DOT regulations and improvement Federal Motor Carrier Safety Administration Compliance, Safety and Accountability score and performance for 4 separately registered operating companies. Review/process all DOT Inspections, Citations and violations, take appropriate action to ensure compliance with regulations. Create training materials for business unit and safety partners
  • Research and analyze corporate motor vehicle accident data. Work closely with claims and fleet personnel to adjudicate accident claims. Assist with accident investigations as requested to determine root cause. Develop weekly accident reporting for distribution to all levels of Xcel Energy management. Serve on the Driver Safety Team; identify trends and assess opportunity for team recommendations to support reductions in motor vehicle accidents. In conjunction with management, develop and coordinate remedial driver training programs for identified employees. Maintain driver training records for all affected employees
  • Interpret, analyze and communicate the potential impact of proposed rules, regulations and legislation pertaining to company operations. In conjunction with management, provide written testimony and respond to regulatory requests for information concerning corporate compliance with federal, state and local regulations and all Fleet-related issues
  • Oversee medical programs that support compliance with DOT requirements. Coordinate directly with Xcel Energy’s contracted occupational medical vendor to ensure compliance with DOT medical requirements. Ensure integrity of all vendor/employee provided DOT required documents
  • Oversee corporate fleet vehicle licensing and permitting programs minimizing total cost to operating departments. Lead corporate support of regulatory agency audits or requests for information. Act as liaison between managers and crews to facilitate fleet performance in mutual aid emergency response efforts
179

Mgr Regulatory Compliance Resume Examples & Samples

  • BS/BA in Finance, Business Administration, or Accounting
  • 7 Years with Bachelors; 5 Years with Masters
  • Experience using CATS, Concur, SAP and Business Warehouse (BW)
  • Some travel may be required
  • Strong communication skills with the ability to effectively interact with senior
180

Director, Regulatory Compliance Resume Examples & Samples

  • A minimum of a Bachelor's Degree in Science, Engineering, Business, or Quality and Regulatory Compliance related discipline is required
  • An advanced degree (MS, MBA, PharmD, PhD, etc) is preferred
  • A minimum of 10 years of related work experience in Quality and Regulatory Compliance in an international, global context, in a regulated healthcare environment is required
  • Functional experience working with medical devices is required
  • Expert and broad based knowledge of cGMPs and medical device ISO requirements is required
  • Proven experience effectively interfacing with global regulatory agencies, e.g., FDA, MHRA, TGA, notified bodies, etc. is required
  • Ability to analyze and interpret regulatory documents is required
  • Ability to develop strategy, build consensus, and driving outcomes without always having line authority is required
  • Proven experience in driving progress to strategic plans and remaining focused under ambiguous and complex situations is required
  • Ability to influence, negotiate, and build credibility to enable achievement of goals is required
  • Ability to lead teams and build strong cross-functional relationships is required
  • Experience in regulatory affairs areas, including knowledge of 510K and PMA submission process (or global equivalent) is preferred
  • Experience in establishing Quality Management Systems is preferred
  • This position will be based at any US JNJ facility, including the possibility of being remote, and may require up to 30% domestic and international travel
181

Regulatory Compliance Audit Liaison Resume Examples & Samples

  • Data gathering, detailed review and analysis of information and other audit activities associated with RFI’s, special request/projects, etc
  • There will be a requirement to explain data in legacy incurred cost claim schedules, provide FAR/CAS interpretations, understand Mandatory Annual Audit Requirements (MAAR), and participate in other assignments as needed
  • Interpreting policies and procedures to ensure compliance with the appropriate statutes and regulations and that regulatory reporting requirements are met
  • Actively engage with Governmental Agencies (DCAA/DCMA) which involves working directly with Governmental Audit auditors and internal staff to accurately, professionally, and timely respond to audits, RFI’s, Business Systems Reviews, ad-hoc requests, and special projects
  • Investigates and resolves compliance problems, questions, or complaints received from other units of the company, customers, government regulatory agencies, etc
  • Support the Incurred Cost Submissions
  • May assist and support final rate/cost negotiations, quick closeouts, or other duties as required
  • Identify and recommend to management areas for business/process improvement, compliance, or concerns regarding company police/procedures
  • Will support ad-hoc request and special projects
  • Bachelor's degree in Business/Accounting/Finance with 15 years of related experience OR a Master’s with 13 years of related experience. (Additional 4 years of experience may be accepted in lieu of Bachelor’s)
  • Experience in finance, accounting, and compliance in government contracting
  • Experience with and overall understanding of accounting, business systems, reporting systems, budgeting, estimating, and internal controls
  • Knowledge of FAR, CAS, and other related rules, regulations, laws, or issued guidance (i.e. MAAR, CAM, DFARS, etc)
  • Proficiency with Microsoft Excel
182

Team Lead, Regulatory Compliance Resume Examples & Samples

  • Oversee the compliance post trade testing/monitoring and review governing documents
  • Serves as a subject matter expert and mentor to junior level Compliance Analyst/Consultant
  • Assigns tasks to junior level Compliance Analyst/Consultant
  • Can effectively communicate with CCOs and liaise effectively with internal partners
183

Consultant, Regulatory Compliance Resume Examples & Samples

  • Daily compliance support of 40 Act Fund clients
  • Facilitate the compliance post trade testing/monitoring and review governing documents
  • Clear understanding of regulatory compliance; SEC and IRS rules
  • Completes review of prospectus, interprets rules, translates into the matrix, and codes rules into the Charles River system
  • Excellent written and communication skills
184

Regulatory Compliance, Months Contract Resume Examples & Samples

  • Provide comprehensive compliance and regulatory advice on PB compliance issues
  • Drafting and reviewing of policies
  • Assist management in resolving Compliance issues which arise in Private Banking
  • Provide training
  • To ensure that the compliance function in Singapore operate so as to service management and business needs by setting an example as a commercially aware compliance resource and encouraging management to view Compliance as such
  • Understand and implement Compliance control procedures
185

Regulatory Compliance Leader Resume Examples & Samples

  • Bachelors' Degree in Chemistry or closely related discipline
  • Significant years' relevant working experience
  • Proven experience with working with Chemical Regulations
  • Ability to analyze requirements/regulations and create a manageable design solution
  • Demonstrated ability to pursue tasks to completion, results oriented
  • Strong communication, interpersonal, analytical, and problem-solving skills
  • Process and detail-oriented, including strong organizational skills and ability to prioritize
  • Self-motivated with ability to handle a large and varied workload simultaneously, to multitask and to work independently
  • Ability to interface effectively with different functions throughout the organization
  • Experience in cross functional team communications, influencing skills and ability to gain buy-in for initiatives
  • Extractable and leachable requirements for Single Use consumables
  • 21 CFR Part 170 Food Additives and Food Contact Substance Notification Program
  • REACH (Registration, Evaluation, Authorization of Chemicals)
  • CLP (Classification, labelling, packaging)
  • Animal origin (EC1069/2009 and USP VI)
  • BPR (Biocidal Product Regulation)
  • TSCA (Toxic Substances Control Act)
  • Experience with BioPharmaceutical manufacturing
  • Knowledge around product environmental regulations such as RoHS, WEEE directives
  • Experience as a Compliance or Regulatory engineer
  • Masters degree in Chemistry or other closely related fields
  • Familiar with Design and Development in ISO 9001
  • Experience with authorities such as ECHA (The European Chemicals Agency), EPA (Environmental Protection Agency)
  • Sterilization requirements for Single Use consumables
  • Biocompatibility requirements and standards
  • Experience from GMP and GLP regulated environment, including clean room
186

Regulatory Compliance Advisor Resume Examples & Samples

  • Provide support and guidance to internal and external clients on regulatory compliance issues related to consumer credit services
  • Draft compliance policies and procedures
  • Perform compliance reviews of vendors, partners and clients
  • Provide assistance to Product Marketing and Sales by attending meetings, holding ad hoc meetings, and attending business functions
  • Perform formal compliance reviews and risk assessments of new or enhanced product and service offerings in conjunction with Product Marketing teams
  • Review and approve financial marketing materials
  • Provide formal and informal training on regulatory compliance policy matters for internal partners
  • Work with a variety of cross-functional teams to ensure compliance with laws, regulations and policies. These include, but are not limited to, Legal, Information Security, and Governmental Affairs
  • Minimum of five years’ experience in a regulatory compliance role providing subject matter support and oversight to a business region, function or enterprise and its financial products and services; and/or general compliance governance functionality
  • Extensive knowledge of federal and state privacy laws and regulations, including FCRA, FACTA and GLBA, preferably from a consumer reporting agency (CRA) perspective
  • Knowledge of federal and state consumer protection laws and regulations, including UDAAP
  • Excellent analytical, communications (written and verbal), and interpersonal skills required
  • Strong organizational skills to prioritize a high volume workload
  • Must be willing to learn new tasks and take on new responsibilities when needed
187

Healthcare Regulatory Compliance Industry Consultant Resume Examples & Samples

  • Establish and maintain ongoing business relationships with regulators and other business partners/vendors
  • Coordinate and prepare the organization’s submission strategy and submit comments to government agencies regarding proposed regulations
  • Identifies, obtains, compiles and reviews regulatory documents impacting Argus business and customers
  • Take a lead role in the interpretation of published and proposed regulations, working closely with regulators, legal resources, and customers to clarify or build consensus
  • Provide oversight and leadership on multiple compliance related projects while meeting regulatory deadlines and commitments
  • Take a primary role in customer compliance audits
  • Develop and implement process improvement methods for monitoring, tracking, documenting and communicating regulatory guidance to internal and external stakeholders
188

Regulatory Compliance Consultant Resume Examples & Samples

  • Preparation of BSA and regulatory compliance review reports
  • Coordinating the timely completion of fieldwork
  • Working with clients and other FIG staff to determine engagement/relationship objectives, develop appropriate budgets and assist in coordinating resources to meet the objectives
  • Establishing and maintaining relationships with key bank executives and directors
  • Periodically attending bank federation/association meetings
  • Providing oversight/review of assigned financial institution staff members
  • Working with other Managers and Engagement Directors and client to address credit review issues that may arise
  • Keeping abreast of the latest banking industry and regulatory compliance developments through ongoing formal and self-education
  • Anticipating and addressing client issues
189

Lead, IT Regulatory Compliance Resume Examples & Samples

  • 80%
  • Leads and executes internal audits and periodic reviews covering key IT GxP related processes, large global portfolio of computerized systems covering Supply Chain, Manufacturing, Laboratory, Commercial and R&D, including ERP systems (e.g., SAP, JDE), Manufacturing Execution Systems (MES), Warehouse Management System (WMS), Laboratory Information Management Systems (e.g., LIMS and Empower), Quality Systems (e.g., CAPA, Non-Conformance, Change Control, etc.) Enterprise Master Data Management (EMDM) and Data Warehousing
  • Contribute to the content management for writing SOPs, WIs, Policies for the audit program
  • Ensuring timely and effective resolution to CAPAs and audit observations related to the audit program
  • Partner with audit observation owners to understand root cause analysis and develop appropriate remediation plans
  • Provide on-going support for the Audit mailbox including the coordination and management of activities to provide requested support
  • Maintain awareness of new and emerging technologies and regulatory requirements
  • Support communications and distribution of final report for internal, external or 3rd party audits
  • Supports Health Authority inspection readiness activities
  • Assist with audit readiness activities for internal and external audits
  • Performs gap assessments to new or evolving regulatory requirements and guidance
  • When applicable, leads the delivery of education and training on compliance requirements, procedures and controls
  • Builds and maintains trusting, collaborative relationships and partnerships with internal and external stakeholders to accomplish business objectives
  • Participates in industry and other professional networks to ensure awareness of industry standards, trends and best practices in order to strengthen GxP audit knowledge. Engages with industry groups (e.g., ISPE, AdvaMed) to understand and influence the external regulatory environment
  • Partners with stakeholders to assess, develop and implement solutions that enable compliant innovation
  • A Bachelor’s degree is required. (Preferred Area of Study: Computer Science, Mathematics, Information Technology, Engineering or related discipline preferred)
  • A minimum of 3 years of experience in IT (Information Technology), Compliance and/or QA (Quality Assurance) within a regulated industry
  • A minimum of 2 years of auditing experience in a regulated healthcare industry
  • Experience leading or participating in global virtual teams
  • Experience and knowledge of FDA computer system validation requirements, Quality System Regulations, ISO plus experience with external auditing bodies
  • Demonstrated experience in writing compliance documentation
  • Demonstrated ability to support complex projects, priorities and multiple tasks
  • Ability to influence, negotiate, inspire trust, and quickly build credibility to enable the achievement of mutual goals
  • Strong skills in interdependent partnering to facilitate collaboration
  • Ability to perform work with a high degree of independence and proven experience in driving progress and remaining focused under ambiguous and complex situations
  • Ability to work effectively in a virtual team environment
  • Up to 25% Domestic and international travel
  • Experience interacting with health authorities and/or notified bodies during inspections is preferred
  • Understanding of how regulatory bodies approach inspections and how to respond to Health Authority observations is preferred
  • CISA, ASQ, ISO Lead auditor or other auditor certification highly preferred
  • Knowledge of process design, development and continual improvement is desired
  • Knowledge of process improvement experience such as Six Sigma, Lean and Design Excellence is a plus.IT Compliance
190

Product Regulatory Compliance Representative Resume Examples & Samples

  • Bachelor's Degree required with a preference in chemistry or related field
  • Experience in chemical regulations and/or stewardship prefered
  • Self-motivated, detail-oriented and results-driven, with excellent communication and interpersonal skills
  • Critical thinking
  • Ability to build relationships and collaborate across multiple functions
  • Ability to develop knowledge about the chemistry of products, not limited to the identity of the products, but also possible formation/presence of by-products, impurities, break-down products, additives used and contaminations by processing aids, packaging, storage and transportation
  • Microsoft Office application proficiency and abilty to learn SAP functionality
  • Process or procedure design experience beneficial
  • Presentation experience beneficial
  • Willing to travel ~10%
191

Regulatory Compliance Resume Examples & Samples

  • Working with the team lead to provide qualitative compliance advice and support to the business including advice on regulatory change
  • Liaising with portfolio managers and other investment staff including dealers on regulatory matters including advising on eligibility of instruments under UCITS, business conduct and application of BlackRock compliance policies
  • Provide support and input to co-ordination of activities relating to the governance of the UK fund ranges
  • Participation in other compliance or business-driven projects and initiatives providing timely advice on compliance matters
  • Provide input to regular reporting and communication on Compliance matters to senior management and corporate and/or fund boards and broader BlackRock business
  • Excellent organisational skills - ability to prioritise workloads and adhere to deadlines
  • Knowledge of UK UCITS a distinct advantage (Luxembourg and Irish UCITS also considered)
  • 2+ years financial services experience with a focus on regulation
192

Director, Regulatory Compliance Resume Examples & Samples

  • Define, develop and oversee transactional processes, procedures and systems surrounding Import and Export compliance
  • Support of strategic initiatives (e.g., ISCS, Mobility), acquisitions and new/emerging technologies (Cloud)
  • Serve as subject matter expert in all relevant import and export regulations, providing both technical and operational advice for all international business development initiatives
  • Management of US Compliance team including but not limited to employee technical development, performance management, workflow productivity and rebalance, departmental reorganization, continuous improvement of processes, program; perform compliance self-assessment of departmental internal controls
  • Perform compliance audits of import program at Tech Data subsidiaries
  • Meet attendance and punctuality standards
  • 4 year university degree plus 15 years of relevant experience
  • Advanced degree preferred
  • Extensive experience with Customs/import and Export strategic planning, compliance risk assessment / management.Extensive knowledge of relevant compliance laws and regulations
  • US Customs Broker’s License required
  • U.S. Export Compliance Officer certification preferred
  • Work in similar compliance role and capacity for Hi Tech or electronics firm
  • Strong knowledge of encryption and/or products containing this controlled technology
  • US Customs Compliance and import operational knowledge and experience required
193

Vehicle Safety & Regulatory Compliance Intern Resume Examples & Samples

  • Completion of junior year at an accredited university by summer of 2017
  • Working toward a Bachelor's degree in Business, Finance, Engineering, or related field from an ABET accredited university
  • GPA of 3.0 or higher (based on a 4.0 scale)
  • Computer proficient
194

Regulatory Compliance Coordinator Resume Examples & Samples

  • Coordinate accurate quality data collection and protocol interpretation as it relates to regulatory affairs. Prepare regulatory documents for successful submissions to KPNW's Institutional Review Board. These include review requests for new protocols, amended protocols, investigative drug brochures, IND safety reports, serious adverse event reporting, annual reports, and changes to informed consents and protocol deviations/violations. Collaborates with study sponsors to ensure understanding of protocol, informed consent, and other regulatory requirements. Collaborate with study team members to clarify scientific and clinical issues. Practice according to professional, legal, and ethical standards. Develop and implement systems and reports to support department and regulatory needs. Assist the department in evaluating systems and processes to promote effective resource utilization
  • Coordinate specific regulatory assignments to support the goals of the department, the oncology clinic, and the studies. Act as a resource to staff for managing regulatory issues. Prepare and submit regulatory documents to sponsors as appropriate. Ensure study administrative regulatory files are accurate and up to date. Take a leadership role in developing a quality management process within the department that includes quality control, quality assurance, and quality improvement. Communicate study-related issues, such as protocol violations and patient safety to appropriate persons. Coordinate and organize all regulatory documents and maintain the database with all pertinent regulatory information. Apply thorough knowledge of GCP (Good Clinical Practices), Institutional Review Board, and FDA (Federal Drug Administration) rules and regulations that apply to human subjects research. Anticipate fluctuations in work flow and make appropriate adjustments to meet standards and deadlines. Prepare and assist with all regulatory audits. Provide ongoing review and updates of department policies and procedures to ensure compliance with CHR/KP standards as well as government regulations
  • Establish, plan, and coordinate channels of communication between research staff, PI's and KPNW Research Subject Protection Office (RSPO) to solve problems effectively. Establish positive working relationships with Principal Investigators, RSPO staff and other members of the study team to ensure timely, accurate verbal and written communication of study related regulatory activities. Provide timely, accurate communication to appropriate study team members of changes in regulatory interpretations and/or reporting requirements as required by the RSPO. Collaborate with the RSPO to ensure compliance with all institutional and regulatory requirements. Generate invoices to sponsors for IRB/regulatory related charges. Demonstrate a thorough knowledge of communication skills by contributing productively to problem solving and conflict resolution
  • Take a leadership role regarding regulatory related activities working with a multi- disciplinary team. Act as a role model, developing and participating in collaborative relationships with other staff members. Provide regulatory interpretation and clarification to team members. Integrate the department purpose/mission/vision/values into practice
  • Minimum one (1) year in a clinical trial setting
  • Minimum two (2) years in clinical trial setting preferred
  • Minimum two (2) years of research experience in clinical research setting and experience abstracting data preferred
  • Master's degree in related field preferred
  • Thorough knowledge of MS Office software and database management preferred
  • Knowledge of FDA regulations as they pertain to the protection of human subjects preferred
  • Thorough understanding of medical terminology preferred
195

Research Regulatory Compliance Coordinator Resume Examples & Samples

  • Performs administrative and regulatory review of research protocols being conducted under various funding sources
  • Prepares IRB applications and ensures that applications meet regulatory requirements for human subject research (Good Clinical Practice and Code of Federal Regulations) and institutional policy
  • Assists with preparation and maintenance of IND submissions for Investigator-initiated research of investigational new drugs or biologics
  • Coordinates review status between collaborating institutions locally and internationally
  • Interacts and consults with IRB representatives, interdivisional regulatory offices, Federal, State and Local agencies, FDA, and Sponsors on issues regarding ongoing protocols
  • Provides faculty, students and staff with institutional and regulatory guidelines and policies on research involving human subjects
  • Assures timely development and upkeep of Center regulatory database
  • Contributes to the development of seamless, on-line processes for faculty submissions to regulatory offices and agencies
  • Responsible for the organization, entry, maintenance, and accuracy of all CIR personnel required credential renewal documents in a timely and ongoing manner
  • Assists with special projects and other duties as assigned
  • Marketing and advertisement liaison for the CIR
196

Regulatory Compliance Counsel Resume Examples & Samples

  • Join a company that’s made information that was previously only available in a print format accessible online
  • Be part of a 10,000-strong global workforce
  • Work with world-class content and respected legal and business publications
  • Monitoring and advising on all current regulatory requirements, policies and procedures applicable to the industry and in particular the business
  • Contributing to LN Regulatory compliance using established methodology which involves a multi stage process to achieve compliance; Investigate, Gap Analysis, Policy/Process gap fill, Education, implementation and Audit. Using and establishing a process of "House Style” documents to roll out implementation, giving clarity and consistency
  • Keeping up to date with new regulations which may affect the business and finding pragmatic/balanced solutions for compliance efforts
  • Work with RELX compliance department on various projects including Preventing Bribery compliance efforts, competition and data protection issues
  • Build, manage and maintain strong internal relationships with key stakeholders and teams across LN to help investigations/gap analysis and implement specific areas of the LN Compliance project
197

Director of Regulatory Compliance Analysis Resume Examples & Samples

  • Maintain knowledge of legal trends, legal requirements, and business requirements at a high level
  • Facilitate discussion and decision-making on legal, product and business issues, with the final authority on content decisions
  • Monitor, evaluate and identify early the legal, compliance and business risks relative to products and customers, provide alternative approaches to address the risks, and direct accordingly
  • Ensure content development and maintenance follows accepted standards, practices and processes to mitigate risk and enable warranty coverage of appropriate content
  • Interact with other WKFS departments and external agencies, law firms, and industry associations as needed to facilitate development and to manage risks
  • Communicate with Congress, state legislatures, and state and federal agencies on relevant topics (this may be delegated to staff attorneys or SMEs where applicable)
  • Ability to work well independently and in a team/process oriented environment in a positive and supportive manner
  • Ability to formulate and communicate strategic level direction for compliance content development
  • Ability to take strategic level direction and translate into tactical direction
  • Strong leadership and resource management skills
  • Considers employees’ strengths and development areas when assembling teams and sourcing quality talent
  • Excellent problem solving/analytical ability
  • Ability to manage resources effectively and to set priorities
  • Appreciation for and familiarity with technology and software development methodologies
  • Creativity and flexibility in a changing environment essential
  • Builds effective relationships
  • Maintains customer focus
  • Embraces and leads change
  • Uses excellent business and legal judgment
  • Makes timely decisions
  • Focused on results
  • 10 years business or practicing law, with at least 7 years previous management or equivalent experience
  • Demonstrated experience leading, directing, and managing a sophisticated compliance content operation
  • Strong motivational skills with the ability to hold people accountable
  • Proven track record of producing positive results, assisting in the overall growth of content development and developing productive people
  • Demonstrated experience working with value added research content that has been indexed for point of practice look up and decision making, or for the creation of transactional content in any setting
  • Highly developed interpersonal skills within a variety of relationships and settings
  • Consultative, collaborative, and team-oriented management style
  • Experience in defining and assessing measurable results, strategy development, assessment techniques, and process orientation
198

Director, J&J Regulatory Compliance Resume Examples & Samples

  • Support the sector regulatory compliance function to achieve a compliance framework that focuses on oversight and execution, in a systematic way, to enable proactive compliance success in delivering business needs across operating units
  • Partner with the Business/Franchises, Supply Chain & JJRC compliance leaders to support operating unit compliance organizations and to build a compliance network for consistency and leveraging opportunities to achieve both strategic and tactical results
  • Support successful product realization and advice businesses/franchises and Supply Chain on compliance strategies. Understands compliance risk profile, proactively identify, communicate and prioritize compliance risks. Work with business partners to escalate and support the mitigation of compliance risk
  • Proactively identify and prioritize compliance risks at their assigned sites or across the supply chain in general
  • Serve as a key advisor and support for critical compliance activities as necessary, including due diligence, integrations, regulatory agency interactions, regulatory inspections, inspection readiness (including mock inspections), recovery/remediation, Quality System and Compliance Analysis, special investigations, critical new product strategies, and independent oversight of Internal Audit programs
  • Serve as a subject matter expert, as needed, to support proactive or reactive responses to issues including on-site support during regulatory agency inspections as well as review responses to regulatory agency inspections as necessary
  • Provide support, oversight and strategic guidance from a Sector perspective for significant regulatory compliance issues and inspections. Conduct, as necessary, independent monitoring and reporting
  • Actively participate in the lifecycle management process where compliance support is required (e.g. New Product launch, significant changes, etc.)
  • Support standardization and leverage of compliance policies, practices and compliance metrics across the Sector and assure alignment within JJRC
  • Support ERC as required in providing independent review and classification of all Regulatory Health Authority inspections and observations at all operating units
  • Support Enterprise Regulatory Compliance (ERC) as required in providing independent classification of severity of all Field Actions at all operating units
  • Ensure implementation of the escalation processes as aligned with Enterprise escalation processes. Assure operating units are fully complying with escalation processes
  • Support sector Compliance dashboards and reporting preparation for the Sector and Enterprise Q&C organization and Johnson & Johnson Compliance Committee as necessary
  • Conduct Independent Audit follow-up and recall follow-up assessments as necessary
  • Support the strategic alignment to the Global policies and standards
  • Assure the execution of the JJRC common practices for Independent Audit, Escalation(within JJRC), Recovery, Post Acquisition Assessment, Internal Audit Oversight and Inspection Support & Readiness
  • Support a framework and network of subject matter experts providing input to, appropriately influence, and interpret requirements of, Regulatory Agencies regionally and around the globe regarding regulations, guidance, regulatory pathways, or approaches
  • Work with operating units to identify, prioritize and ensure implementation of new and revised regulatory requirements and expectations. Support implementation plans for regulatory requirement changes including routinely monitoring and verification of implementation activities
  • Partner with Regional Regulatory Affairs Council, Regional Business/Market Quality, Regulatory Affairs colleagues, Government Affairs colleagues and Enterprise Regulatory Outreach (ERO) council to develop and share understanding of emerging issues and trends
  • Represents Regulatory Compliance (Asia Pacific) in applicable Q&C & JJRC LT Forums and Councils
  • Provide regulatory compliance support to ad hoc committees and projects as necessary
  • Position requires approximately 50% travel with peaks depending on issues
199

Senior Regulatory Compliance Legal Counsel Resume Examples & Samples

  • Develop awareness of Legal, Sales and Delivery teams on offerings and services regulatory compliance, and design and implement regulatory compliance training curriculum and appropriate trainings, working closely with the Legal Director, OGs and GPs General Legal Support, Technology Labs & Training, Knowledge and Capability Development
  • Develop actionable solutions and practical tools/recommendations/guidelines for regulated offerings and services for Legal Sales and Delivery teams and Business teams
  • Manage the development and maintenance of legal/compliance knowledge management capital
  • Exceptional experience providing services and regulatory compliance advices to the industry, with exposure as a transactional attorney of which involved management responsibility for other legal professionals
  • Global knowledge in the industry and/or businesses within this remit
  • An expert in regulatory compliance in various regulated areas within this remit
  • Strategic thinking and thought leadership
  • UK Qualified Solicitor with substantial PQE and or equivalent
200

Regulatory Compliance & Risk Management Professionals Resume Examples & Samples

  • 1-5 years of experience gained in a leading consulting firm or a large multinational / national company in the banking sector
  • Excellent analytical and synthesis skills
  • Natural inclination to work in groups and highly results oriented
  • Excellent ability to build relationships with clients
  • Willing to travel both nationally and internationally
201

SVP Regulatory Compliance Resume Examples & Samples

  • Serves as subject-matter expert for specific regulation(s), regarding its purpose and legislative history, remaining aware of changes to the regulation or to applicability of the regulation to the business lines in the US. Serves as the central point of contact for US Compliance and oversees the accuracy of the information regarding the regulation in the risk assessment tools while serving as the advocate for consistency of controls
  • Is knowledgeable about the results of any relevant BRCM reviews, CTAC testing and Internal Audits and provides input into the action plans to address any weaknesses identified. Ensures remediation efforts are on track for assigned regulation(s), regulatory requirements, and/or compliance risks
  • Articulates any control weaknesses and status of plans to address these across HSBC in the US
202

Senior Regulatory Compliance Engineer Resume Examples & Samples

  • Contributes to advanced regulatory and standards research on new technologies, markets and geographic regions
  • Provides clear options and leadership for recovery plans as needed, displaying excellence in project management (identifying critical milestones, gating items and priorities, determining deadlines for deliverables on critical path, and communicating to cross-functional team members
  • Identifies compliance related risks, effectively communicates the threat and suggests best means for avoiding or reducing the risk
  • Leads compliance plan reviews and safety design review meetings for individual products, early in the design cycle
  • Mentors and provides guidance to less experienced Compliance Engineers (levels 1 & 2)
  • Effectively communicates the dependencies of other departments' deliverables on our project milestones and vice versa
  • Must possess experience in providing direction and taking the lead on regulatory input during the product design process. Experience with BT, Wi-Fi, or other short range devices, ESD, EMC, EMI and product safety testing and country certifications or homologations
  • Understands manufacturing and supply chain issues as they relate to phase-in of compliance-driven design changes
  • Experience reviewing nearly all EMC and safety design aspects for circuit design and PCB layout
203

Regulatory Compliance Audit Liaison Resume Examples & Samples

  • Facilitation, data gathering, review, and coordination of audit activities, RFI's, special request/projects
  • Assist in supporting activities such as disclosure statements, incurred cost submissions, FAR/CAS interpretations, Mandatory Annual Audit Requirements (MAAR), floor checks, internal controls, or other assignments as needed
  • Investigation and resolution of compliance problems, questions, or complaints received from other organizations within the company, government regulatory agencies, auditors, etc
  • Tracks and documents all requests and work assignments
  • Supports the Incurred Cost Submissions
  • Uses internal tools to support job duties; includes the use of reporting tools in data calls Will continually demonstrate knowledge of relevant FAR and CAS rules/regulations to assist in assignments
  • May identify and recommend to management areas for business/process improvement, compliance, or concerns regarding company polices/procedures
  • Bachelor's degree in Business/Accounting/Finance with 6 years of applicable work experience - OR - a Masters degree as described with 4 years of applicable work experience
  • Overall understanding of accounting, business systems, reporting systems, budgeting, estimating, internal controls
  • A practical knowledge of FAR, CAS, and other related rules, regulations, laws, or issued guidance (i.e MAAR, CAM ,DFARS, etc)
  • Proficiency with Microsoft Office Suite, specifically Excel
204

Regulatory Compliance Counsel Resume Examples & Samples

  • You will reinforce compliance standards and monitor, detect and prevent compliance deficiencies
  • You will watch, interpret and ensure compliance with new regulations and law changes for workers compensation, liability and commercial auto claims handling
  • Build and cultivate relationships with key regulatory bodies
  • Partner with colleagues in Compliance, Legal, and Claims Operations to ensure products, systems, processes & procedures are in compliance with statutory/regulatory requirements
  • Respond to regulatory, agency and governmental inquiries
  • Lead the resolution of regulatory claims issues arising out of examinations, audits, and inquiries and ensures remediation and appropriate preventive actions
  • Develop, lead and administer our compliance capabilities, including review of existing policies and procedures, compliance risk assessment, identify areas of continuous improvement and handle reviews
  • Supervise a claims compliance consultant
  • 7 years insurance industry experience, primarily in the area of third party administration claims handling, compliance, operational, or supervision for P&C Commercial Lines
  • Solid working knowledge of claims handling
  • Demonstrated understanding of the P & C insurance regulatory environment
  • Capability to develop deep relationships. ability to consistently execute and deliver results
205

Product Safety & Regulatory Compliance Consultants Resume Examples & Samples

  • Provide on-site product safety and regulatory compliance support at client facilities
  • Serve as primary author of Safety Data Sheets and Product labels using various global formats
  • Provide current Safety Data Sheets for new products, changes to existing products, experimental products, etc., in support of clients business needs
  • Maintain a thorough knowledge of emerging technical and regulatory issues within the geographical areas of responsibility
  • Screen and evaluate substance study reports (i.e., environmental fate and effect studies, mammalian toxicology studies)
  • Develop hazard assessments, GHS Classifications, Safety Data Sheets, product and transportation labeling, etc
  • Perform multiple tasks within scope/budget/schedule expectations and ensure quality standards on project deliverables
206

QA & Regulatory Compliance Assoc Resume Examples & Samples

  • Be the Subject Matter Expert in clinical research billing requirements, including but not limited to Medicare/Tricare/Medicaid and commercial insurers, Qualifying Trials and National Coverage Determination
  • Create and maintain internal policies and SOP's to support entity-wide compliance with clinical research billing
  • Monitor new legislation or changes in regulations that might affect the Institution's compliance in regards to clinical research billing, recommending changes to administrative policies and procedures, as appropriate
  • Work with DUHS Finance, Compliance, Procurement and the Patient Revenue Management Organization (PRMO) to ensure research processes are correct and up-to-date. This includes, but is not limited being familiar with changes to the DUHS charge masters; how research charges in the system are affected; and communicating to the research community when research rates are amended
  • Work with School of Medicine Finance to create and implement a subject charge review process that ensures timely adjudication of all subject charges on federal and federal-pass though protocols
  • Conduct workshops/training sessions for faculty/staff/ and updates the research community regularly administrators regarding subject charge review
  • Provide regular reports to stakeholders [CRUs, Study Teams, School of Medicine finance, DUHS Compliance and the Office of Audit, Review and Compliance (OARC)] regarding trends and outliers in the finance and charge review process
  • Investigate errant charges and provide feedback to the School of Medicine and the PRMO Clinical Trial research builders on the function of the build; request need changes to the build and ensure that the new plan is applied to active subjects
  • Interact with appropriate persons/agencies (e.g. CRU's, Office of Research Administration (ORA), Office of Corporate Research Collaborations (OCRC) to resolve subject charge-related compliance problems)
  • Liaison with NIH clinicatrials.gov team to support clinicaltrials.gov at Duke
  • Assist the Associate Dean for Clinical Research with special projects related to financial and research charge processes
  • Supervises DOCR staff assigned charge review activities
  • Manage the subject charge review process for all clinical research billing. Correct charges consistent with the Maestro Care billing process and provide feedback to the Maestro Care builders, PIs, study staff, and School of Medicine and Departmental Leaders
  • Provide education and training to the research community and ensure that the information taught in all classes is current
  • Liaison with study teams, Regulatory Affairs, PRMO Clinical Trials Builders, DUHS Compliance and OARC, DCRI, DCI in support of the clinicaltrials.gov initiative at Duke
  • Confer with Associate Dean of Clinical Research in planning vision/expansion of DOCR services with regard to scope of incoming work, staff needs, development of staff skills, and other potential growth
207

Regulatory Compliance Supervisor Resume Examples & Samples

  • Mentor, develop and direct activities for Specialists
  • Serve as primary owner of controlled substances management tasks (sample and commercial shipments, ARCOS reporting, inventory, quota, registrations, etc.)
  • Serve as site representative on corporate Controlled Substance Council
  • Serve as compliance representative for material specification sheet change control
  • Serve as compliance representative for test method change control
  • Compile site specific quality metrics for managed areas
  • Direct or support process improvement design and implementation, including training other functional areas, in areas of responsibility
  • Support role in internal, customer and agency audits of the site
  • Ensure compliance with cGMP and DEA regulations as well as site SOPs
  • Assists the Regulatory Compliance Manager with other duties as assigned
  • CGMP regulations/guidance pertaining to Pharmaceutical industry
  • DEA Regulations
  • Fully competent in the use of common computer software – Microsoft Windows, Microsoft Word, Microsoft Excel, Microsoft Power Point, Microsoft Project, and Visio
  • Data entry and use of computer user interface tools including mouse, keyboard and any other applicable instruments
208

VP, Quality Assurance & Regulatory Compliance Resume Examples & Samples

  • Establishes overall quality assurance and regulatory strategy in partnership with senior management. Serves as key advisor to the PharMEDium business management on quality assurance and regulatory matters
  • Determines resources required to meet strategic objectives. Conducts organizational reviews to assure Centers are structured correctly and sufficiently coincide with changes in SOP’s. Drives change where necessary
  • Drives recruitment activity and assures the ongoing professional development of direct reports and the overall company quality/regulatory organization
  • Holds oversight responsibility for program management including stability requirements, media fills and product implementation at the facility level
  • Ensures licensures are compliant and current
  • A demonstrated ability to lead people and get results through others
  • Ability to positively influence groups to embrace a common philosophy
  • Excellent interpersonal/communication skills, interpersonal agility and self-awareness. Must have confidence when communicating with a variety of constituents including executive management, regulatory agencies and outside organizations as well as field staff in outsourcing facilities
  • Must possess strong analytical ability coupled with strong decision making skills
  • Expert technical, regulatory, compliance and problem solving skills
  • Experienced at process design
  • Proven ability to condense diverse, complex issues and concepts into a crisp, clear message for PharMEDium Regulatory/Quality staff
209

Head of Regulatory Compliance Commercial Banking Resume Examples & Samples

  • Minimum of a Bachelor degree. Masters degree is an asset,
  • Minimum of 10-15 years of proven and progressive Commercial Banking experience and/or experience
  • Wide scope of knowledge of CMB businesses, including products, operations, systems and organization
  • Full understanding of all significant Regulatory Compliance requirements applicable to CMB businesses (Bank Act, Securities Commissions regulations as well as SROs rules)
  • Well-developed communications, negotiation, analytical, organizational skills
  • Significant leadership experience and a strategic thinker
  • Experience dealing with regulatory matters and regulators
  • Ability to lead change in CMB, joining up with the other teams in Compliance and Business globally
  • Ability to effectively communicate ideas, actions and decisions and to influence business lines to achieve consensus on regulatory risk issues and mitigation
  • Strong leadership skills to manage a diverse team
210

Mgr Regulatory Compliance Resume Examples & Samples

  • Develop and implement regulatory strategies based on in-depth knowledge of applicable law
  • Remain current and serve as expert in pertinent product regulatory requirements across all serviced and targeted areas
  • Collaborate with product management on commercial strategy to bring new products to market
  • Provide expertise and oversight for all plant nutrition regulations pertinent to targeted geographies including countries in South America, North America, Africa, Europe and Australia
  • Research regulatory requirements of new opportunities to understand applicable regulations for Compass Minerals’ potential products
  • Lead R&D regulatory for product development to understand formulation restrictions as products are explored and developed
  • Obtain state and federal clearance for experimental field trials by collaborating with regulatory agencies
  • Prepare regulatory submissions and communicate with regulatory agencies or consultants to follow-through to certification
  • Provide oversight and advice on labeling to ensure consistency with pertinent regulations
  • Keep abreast of emerging regulatory requirements and how those changes will affect our industry
  • Work with plant/site management (including quality management) to provide guidance on regulatory issues
  • Utilize and monitor laboratory data for understanding of impact on regulatory approvals
  • Maintain the reputation of Compass Minerals as a responsible, innovative organization that openly collaborates with regulatory agencies and industry stakeholders
211

Co-op Regulatory Compliance Resume Examples & Samples

  • Current enrollment in a B.S. program with a major in Mechanical or Environmental Engineering
  • Minimum second semester sophomore status with 48 completed credits
  • Availability to work full time (40 hours or more per week) through a full co-op term running January to August 2017
  • The ability to enroll on a formalized co-op program through your college or university
  • Dependable, self-motivated and engaged learner
  • Ability to travel domestically, up to 10%
212

Senior TPM Regulatory & Compliance Resume Examples & Samples

  • Work with design teams to perform pre certification testing, EMI and ESD testing
  • Work with design teams to review for compliance and deployment related considerations
  • Create processes to ensure the Compliance Team communicates policies and processes – as it relates to regulatory compliance (FCC, BIS, ETIG, global)
  • Test production-level units to ensure in-production units continue to meet global certifications (FCC, BIS, ETIG Product Safety)
  • 3+ years of EMI/ESD compliance testing and debug experience
  • 3+ years in wireless product deployments
  • 3+ years of product safety submission experiences with AC adaptors and consumer electronics core products (i.e. end product, including servers, agency critical components like internal hard drives, or internal/external power supplies)
  • Experience with ROHS, REACH and other environmental compliance experiences
  • International travel, as needed, up to 25%
  • Knowledge of ETIG application, ADPM registration, BIS registration, PTCRB, GCF, and global industry certifications preferred
213

Workers Compensation & Regulatory Compliance Program Specialist Resume Examples & Samples

  • Bachelor's Degree required OR 7+ years of working experience, industry certifications or training in those job tasks assigned is required
  • Ability to travel 10-20%
  • Ability to interpret and comprehend governmental regulations
  • Strong Project Management and leadership skills
  • Knowledge of company facilities, procedures, and people/departments is critical for success. A large internal network is optimal
  • Experience working in a team environment on collaborative projects including root cause investigations
  • Able to deliver and explain training materials to all levels of employees
  • Organized and effective at time management with strong multitasking abilities
  • Ability to work on global special projects where multiple interests intersect
  • Excellent communication and team leadership skills with strong managerial skills with the ability to interact and influence all levels of employees
  • Self starter able to work independently under minimal supervision
  • Must exercise discretion and independent judgment
  • One who takes ownership of their given areas of responsibility
  • Must be able to work with minimal supervision and guidance
  • Must display a 100% personal commitment to Air Liquide's safety objectives and to building a culture of Safety First
  • Must demonstrate sensitivity towards confidential business and personnel information
214

Ssme HC DI XP R&D Regulatory Compliance Engineer Resume Examples & Samples

  • Responsible for Implementation of IEC/EMC/CFDA/FDA and other country requirement into product design phase
  • Support licensing process for XP (X-Ray) products in China
  • Understand and implement regulatory requirement into product design
  • QIB issue/task regulatory related task owner
  • Support licensing process for imported XP and SSME XP products in China
  • Support SLC regulatory affairs in handling technical and product-related questions from CFDA and test house side
  • Perform CFDA tests for imported XP and SSME XP products
215

Quality Specialist, Regulatory Compliance Resume Examples & Samples

  • Minimum 3 years’ experience in Quality, Regulatory, Technical, or Manufacturing Operations in the area of regulatory inspections. Knowledge of cGMPs, document management collection and archival
  • Works independently with all levels of the organization, and has demonstrated the following skills: Rapid / Disciplined decisions, Acts with courage and candor
  • Drives results, Escalation of issues / concerns to management, as appropriate
  • Ability to Prioritize, Align and Simplify
  • A minimum of four (4) years of experience in the validation of computerized systems supporting the manufacturing in a GMP environment
  • Understanding of FDA regulations/guidance
  • Experience with different types of validation testing
  • Experience with Quality systems including change control, incident management, and deviation management
  • Reports to Associate Director, Regulatory Compliance
  • Interacts with employees within own department, from other departments and from other sites
  • Interacts with representatives from regulatory agencies / partners / Divisional Auditors
  • Knowledge of the manufacturing processes and support systems across the Durham organization
  • Experience with MIDAS, SAP and other database systems
  • Knowledge of CFR, Eudralex and other regulatory guidance specific to the pharmaceutical industry
  • Effective global communication skills (both written and oral)
  • Ability to multitask and manage/prioritize multiple projects and deadlines
216

Americas Head of Global Markets Regulatory Compliance Resume Examples & Samples

  • Providing line management and oversight of Global Markets Regulatory Compliance Officers serving US domestic business and business in the region, in accordance with the team structure as amended from time to time
  • Managing, either directly or via members of the team, significant regulatory investigations, exams and inquiries. Liaising with Compliance functions in respect of the implementation of appropriate Regulatory Compliance Risk Assessment and Compliance Monitoring and Surveillance processes to ensure the effective management of regulatory compliance risk in the Americas
  • Deputising for the Head of GBM RC Americas and assisting with the development of strategy for the continuous enhancement of the standards of Compliance support to Markets businesses across the region
  • Strong knowledge of US securities and derivatives rules and regulations, including SEC, FINRA and CFTC
  • Minimum of 15 years proven compliance and/or regulatory experience and 5+ years of supervisor/management experience. Experience of US Regulations essential
217

Head of Regulatory Compliance Global Banking & Markets Operational Effectiveness & Control Resume Examples & Samples

  • Develop and implement global, best practice standards, policies and procedures which are viewed as industry peer-leading to govern the GBM Regulatory Compliance Function
  • Communicate, implement and oversee major proposals for regulatory change and regulatory and law enforcement trends in relation to GBM Regulatory Compliance Function across a complex matrix of regulators and conduct issues globally
  • Manage a global team within GBM Regulatory Compliance Function with functional oversight
  • Manage and lead the required remedial action of all material GBM Regulatory Compliance control issues involving the region
  • This newly created role will provide subject matter expertise to LCOs, lines of business and support functions in the design and implementation of internal controls to address material compliance and regulatory issues identified and reported by RCMAT, CIU, BRCMs, regulators, or Internal Audit
  • Increasingly Regulatory Compliance is being required to define the control expectations, or detailed design that would be required to meet the regulatory expectations to manage regulatory risk. Under the current design of the department this expertise and responsibility is split between the various RC teams within the region, which results in uneven development and adherence to best practice
  • This new role will be responsible for developing the GBM RC best practice for the assessment of controls, for setting the minimum standards expected for different types of controls and approval of any specific controls implemented. Through the activities of existing teams the role holder will help to identify and remediate operational weaknesses, deploy tools to enhance controls and become more efficient by leveraging current and emerging new technology
  • This role will also be responsible for the challenge of the controls around GBM RC activities’ as Risk Steward and Control Owner. Through a program of review and challenge the role holder will help drive best practice in the controls implemented to ensure the accuracy of GBM RC’s own activities
  • Though focused primarily on the Americas region, this is a unique role that will be expected to drive forward improvements in the controls that GBM RC oversee as Risk Steward and manage as Control Owners
  • The role will form a key part of the Americas GBM RC management team
  • Strong background in compliance, audit or operational control within a financial services environment and be able to understand, interpret and apply complex regulatory requirements to business practices
  • Minimum of 15 years proven experience in a highly regulated area and 5+ years of supervisor/management experience
  • Bachelor’s degree
  • Proficiency with software packages including Microsoft Excel, Word, and PowerPoint
218

Director Compliance Regulatory Compliance Management Resume Examples & Samples

  • The incumbent is an active member of the management team and will provide counsel and direction on strategic decisions relating to the RCM program. This role requires active and ongoing relationship management within the business line with key stakeholders
  • Develop strategies and implement end-to-end process design and automation, analyzing and documenting current and potential future state that relates to the RCM program. Additionally, providing guidance and knowledge in process redesign, change management and reengineering methodology
  • Design, develop and maintain monitoring and testing as it relates to the RCM Project
  • University degree – Business, Law, Accounting/Finance or a related field
219

Regulatory Compliance FIU Team Ldr Resume Examples & Samples

  • 7 or more years Bank Secrecy Act and Anti Money Laundering risk management compliance, financial services operations, compliance and legal. (Required)
  • 7 or more years Familiarity and full circle knowledge of the standard banking products and services including workflows. (Preferred)
  • 7 or more years General working knowledge of banking operations, including but not limited to the following: core banking systems, transaction processing, policy and procedural workflows of products and services. (Preferred)
220

Regulatory Compliance Engineer Resume Examples & Samples

  • Provide in-depth regulatory/technical expertise to develop, manage, and implement regulatory analyses, activities, and programs, as well as identifying and resolving regulatory issues
  • Oversee the identification and application of elements of the corrective action process, including problem identification, failure analysis, root cause analysis, problem correction, recurrent control and verification of effectiveness
  • Conduct internal audits of management systems and assign corrective actions as necessary
  • Recommend new concepts and techniques to improve performance, simplify operations, reduce costs, reduce the regulatory burden, correct non-compliance, and ensure over adherence to regulations
  • Bachelor’s Degree in an Engineering field
  • Five or more years of experience within an ISO or government regulated environment
  • Experience within the Aerospace Industry with exposure to AS9100 and FAA regulations preferred
  • Knowledge and experience with Environmental Management Systems (EMS) is highly preferred
221

Regulatory Compliance Environmental Engineer Resume Examples & Samples

  • Provide leadership and technical expertise in the areas of environmental regulatory compliance requirements during the product development cycle
  • Work closely with Marketing to prepare and validate plans for new products in a global market
  • Develop and implement a process to obtain and/or maintain product environmental regulatory certifications
  • Ensure all product lines meet the global environmental requirements, such as RoHS, REACH, WEEE, Indoor Air Quality, and Acoustic Noise
  • Assist in the application of all applicable government, industry, and company environmental requirements to provide global product compliance
  • Develop, document and maintain internal environmental compliance specifications on a product by product basis
  • Provide guidance to electrical and mechanical engineers on the appropriate action in response to regulatory initiatives
  • Keep abreast of and distribute information on environmental trends, technologies and upcoming requirements to related R&D staff through meetings, presentations, and other media on a regular basis
  • Engage with external 3rd party agencies as required in achieving compliance directives
  • Minimum 5 years experience in environmental regulatory compliance (RoHS, REACH, WEEE, Indoor Air Quality), design engineering, and/or project management
  • Extensive knowledge of environmental regulatory guidelines and requirements, including RoHS, REACH, WEEE, Indoor Air Quality, and acoustic noise with respect to Prosumer and Industrial equipment
  • Strong data research and data analysis experience
  • Experience in researching literature, standards, and industry for advanced technology in an effort to stay ahead of the curve in emerging designs
  • Strong written and verbal communication skills, and the ability to write clear and precise technical reports and presentations
  • Ability to communicate and work cross-functionally across all levels of the organization
  • Proficient with Microsoft Office (Word, PowerPoint, and Excel)
222

Regulatory Compliance Scientist Resume Examples & Samples

  • European Food Legislatio knowledge will be an asset
  • At least 1 year of experience at a manufacturing organization in food industry
  • Experience on a similar position (Scientific & Regulatory Affairs, Quality, R&D) will be a huge asset
  • Flexibility and priority Setting skills
  • Self-starter, Drive for Results
  • Applying procedures
  • Other EU languages (French, Italian, German, Dutch) will be an asset
223

Senior Clinical Research Regulatory Compliance Spec Resume Examples & Samples

  • Education and experience level equivalent to a Bachelor’s degree and a minimum of five years of work experience in compliance oversight of clinical trials (monitoring, QA or auditing), study coordinator, project management, or combination thereof in any of the following environments: Academia, Pharmaceutical Industry, Contract Research Organizations (academic or private sector) or Site Management Organization (academic or private). Masters Degree with advanced science preferred
  • An in-depth knowledge and experience in the application of Good Clinical Practice (GCP) requirements is desired (e.g., ICH, FDA, etc.). Familiarity with the essential documents related to clinical studies, medical terminology and routine medical tests and procedures. Familiarity with computerized clinical data collection systems and biomedical statistics is preferred
  • Ability to respect and protect highly sensitive and confidential
224

VP, Federal Regulatory Compliance & Systems Resume Examples & Samples

  • Effectively communicate in person and by telephone with supervisors, direct reports, employees and external contacts
  • Read and understand written documents
  • Communicate information and ideas in written or electronic form in order for others to understand
  • Work full-time and maintain regular and predictable attendance. Able to work occasional evenings and weekends
  • Travel up to 20% of the time in a safe and expeditious manner, including overnight travel
  • Bachelor's degree in a related field from an institution accredited by an accrediting agency recognized by the US Department of Education. An MBA, JD or CPA license is preferred
  • A minimum of 10 years related experience
  • Proven educational or administrative experience in solving complex problems for individuals. Experience with analyzing and identifying the strengths and weaknesses of options and exercising critical thinking, problem solving, and judgment skills. Ability to analyze risks and identify ways to mitigate those risks. Proactively and proficiently able to diagnose problems and identify solutions
  • Possess excellent interpersonal, influencing and collaboration skills. Able to present results to all levels of management and public. Able to work with a variety of disciplines and levels inside and outside of the organization
  • Ability to respond effectively to the most sensitive inquiries or complaints in writing. Ability to organize and write reports and presentations in original or innovative techniques or style on controversial or complex topics to top management
  • Skilled in recruiting, interviewing and hiring new employees. Experience in supervising employees with ability to assign work, train employees, and conduct job performance reviews. Able to foster a positive and productive work environment with ability to lead, build teams and motivate staff
  • Efficiently utilize a personal computer and related software including Microsoft Office, departmental specific software and Internet proficiencies
  • Apply and maintain a broad knowledge of principles, practices, procedures, laws and regulations
  • Able to work independently with minimal supervision while maintaining high level, quality work and output. Proven ability to work in a fast-paced, dynamic, results-oriented environment
  • Proven track record of project completions on time and within budget or other constraints. Past history of quality attention to detail
225

Intern, IT Regulatory Compliance Resume Examples & Samples

  • Assist with control inventory, rationalization, scoping, design and document
  • Someone interested in Business, Audit and IT
  • Collaborate with other functional areas on various projects as needed
  • Full-time student in an accredited 4 year college, graduate program or Preference given to students with 3.0 GPA or above
  • Motivated self-starter; Excellent verbal and written communication skills; Attention to detail; Excellent analytical skills; Creative and resourceful; Strong business aptitude; Knowledge of the PBM or healthcare industry preferred; Dates of Internship are May 15th-Aug 4th, 2017; Students must be available to work M-F 8am-5pm during this time frame
226

Senior IT Regulatory Compliance Resume Examples & Samples

  • Accountable for the successful and timely completion of audit activities
  • Act as a program manager across compliance activities. This includes
  • O o Developing concise and meaningful weekly / monthly risk scorecards and project summaries for management and operations teams
  • Bachelor's Degree and 8-12 years of experience
  • O o Sarbanes-Oxley Act (SOX)
227

Regulatory Compliance Coordinator Resume Examples & Samples

  • Develop, implement and periodically review processes and policies related to compliance with these federal and state regulations. Prepare and communicate procedures to employees and management to assure compliance with same regulations
  • Monitor and review company activities to assess level of compliance with existing and proposed federal, state, or industry legislation and regulations. Maintains compliance documents and databases, coordinates preparation of such documents from other departments. (As specified by position)
  • Participate in external compliance inspections performed by state and federal regulatory personnel and periodic testing of internal compliance procedures, issue assessment and audit findings. May use and direct outside resources to assess and audit for compliance. (As specified by position)
  • Review external audit findings and prepare and submit responses to the appropriate state or federal agency. Recommend and implement required changes to internal procedures or compliance processes per audit findings. (As specified by position)
  • Establish and maintain working relationships and actively participate in industry and national regulatory compliance groups and related activities
  • Provide regulatory compliance assistance and reporting services, as required to comply with listed regulations
  • Maintain and monitors websites for regulatory compliance, examines and makes recommendations and changes to training materials for regulatory compliance
  • Monitors, participates in and communicates on development of standards, coordinates and works with various departments in the implementation of the standards related to compliance with listed regulations
  • Develop and deliver training including but not limited to external regulations and internal processes and policies (As specified by position)
  • Employee may be required to perform additional duties as assigned
  • Regular and reliable attendance is required in performance of job
  • Working knowledge of transmission pipeline regulations
  • Application of math and analytical processes
  • Experience in use and function of desktop computer applications such as Excel and Word
  • Experience and training related to
228

Regulatory & Compliance Documentation Specialist Resume Examples & Samples

  • Assure accuracy of data within the database
  • Prior experience managing administrative classes such as users, groups, access security, system rules and conditions within a Product Lifecycle Management or Specification System. Preference for this experience to be with Siemens RnD Suite
  • Experience optimizing Product Lifecycle processes within a Consumer Package Goods business processes used for the management of documents and administrative objects
  • Minimum 3-5 years’ experience with food manufacturing operations and QA programs and related regulatory experience
  • Demonstrated proficiency in the use of regulatory databases such as Siemens
  • Experience with the New Product Development Process is preferred
229

VP Regulatory Compliance Strategic Initiatives Pay to Play Resume Examples & Samples

  • Ability to understand similar requirements existing in different regulations to create a set of common program requirements for HNAH (see Rule 206(4)-5 of the Investment Advisers Act of 1940 and Rules G-37 and G-38 of the MSRB Rule Book). Develop key controls and minimum testing requirements for the applicable Businesses
  • Prior experience with “Pay-to-Play” requirements or demonstrated ability to understand the requirements and create a fit-for-purpose program for HSBC’s US Businesses
  • Banking experience required. J.D. is a plus
230

Director Regulatory Compliance Resume Examples & Samples

  • Directs and establishes priorities for the Company’s Environmental Program
  • Recommends annual corporate environmental compliance goals and objectives
  • Provides regulatory interpretation guidance to operations to support consistent implementation of federal, state and local environmental regulatory requirements
  • Works with operations management to develop environmental regulatory solutions for achieving business and compliance goals
  • Track status and support company-wide permitting activity including new permits, renewals and modifications
  • Directs and monitors interaction with regulatory agencies related to permit activity, enforcement actions and strategic initiatives
  • Develops, implements, and oversees environmental data management systems for collecting and tracking data
  • Directs the US Ecology Internal Environmental and Safety Audit Programs in order to evaluate regulatory compliance risk, and partners to develop compliance solutions
  • Drives knowledge sharing through company-wide sharing of lessons learned through incidents, corrective actions and best practices
  • Monitors and manages company liabilities associated with use of outside waste management vendors
  • Supports corporate business development activities by conducting environmental due diligence of potential acquisitions and business ventures
  • Education/Experience
  • Certifications, licenses, registrations
  • Language Skills
  • Mathematical Skills
  • *NO THIRD PARTIES OR RECRUITERS PLEASE.***
231

Global Head Regulatory Compliance & Risk Management Resume Examples & Samples

  • Engage influential opinion leaders and regulatory agency representatives, participate in industry activities, and ensure Novartis influence into new and changing regulation and policy related to pharmaceutical development
  • Ensure routine regulatory intelligence activities are performed by the function or network partners, and establish effective communication and feedback channels
  • Ensure quality oversight of key compliance-relevant activities in regulatory affairs, and adherence to quality standards globally and locally, e.g., regulatory submissions to Health Authorities, labeling and safety label changes, assessment and execution of change requests in RegCMC and medical device management
  • Ensure quality oversight for RA compliance activities, including deviation handling and trending assessment, investigations and escalations, exception requests, KQI reporting, RA-owned controlled documentation, and self-inspections
  • Provide quality support for key transformational projects (e.g., due diligence activities) in relation to purchase of companies/products. Maintain inspection readiness, and ensure appropriate preparation of HA inspections and internal audits
  • Oversee the development, management and completion of timely, relevant and high-quality responses to HA inspection and applicable audit observations
  • Work closely with Clinical QA to ensure submission and inspection readiness for key submissions
  • Proactively approach submission and inspection readiness activities
  • Drives improvements to existing tools and/or new systems, as required to proactively manage risk across QA and the business areas of Development
  • Develops, updates controlled quality documents, procedures, business processes and systems to reflect current standards and best practices in quality and compliance
  • Drives the production of metrics and the interpretation of them to provide continuous improvement across GDD
  • Leads, coordinates, & participates in global and local QA projects and initiatives as per business requirements
  • Provides direct ICH GCP/Regulatory consultation to Clinical QA and clinical development associates across General Medicines, Oncology GDD, NIBR Translational Sciences
  • At least 10 years of demonstrated leadership and accomplishment in regulatory affairs in a global/matrix environment in the pharmaceutical industry
  • Demonstrated experience of successfully leading a medium/high impact project or projects
  • Strong knowledge and expertise in clinical operations and processes and excellent GxP knowledge
  • Demonstrated leadership in implementing robust quality systems and setting global quality standards in a regulated area
  • Demonstrated experience and extensive track record in successfully managing and leading large cross-functional and interdisciplinary teams with high organizational impact
  • Strong leadership and people management skills, with ability to successfully lead
232

Regulatory Compliance Auditor Resume Examples & Samples

  • Assist in establishing detailed audit programs to monitor and assess health plan operations and policies and procedures within all major functional areas including customer service, enrollment and eligibility and claims processing. Assume responsibility for all aspects of assigned audits from the development of the scope document to the creation of the final audit summary report for management review
  • Coordinate and/or perform compliance audits of delegated services provided to Medicare Advantage (MA) and/or Prescription Drug Plan (PDP) sponsors as well as other delegated activities in accordance with established compliance audit protocols to identify program vulnerabilities and to ensure strict adherence to regulatory requirements
  • During audits, will review policies and procedures, works flows, organizational charts, encounter and claims related documents. Will conduct walk-throughs of various departments and processes to ensure that each step of the processes are in order and compliant with delegated and regulatory requirements
  • Prepare audit reports with details of findings and proposed corrective actions, when necessary
  • Utilize appropriate statistical methods and standard auditing procedures when appropriate (determination of appropriate sample size, random selection, establishment of materiality levels)
  • Work with quality and compliance departments to develop baseline data in order to identify outliers and trends
  • Stay abreast of developments in industry auditing standards as well as applicable federal and state guidelines, policies and procedures
233

Regulatory Compliance Investigator Resume Examples & Samples

  • Review pertinent documents and gather relevant facts related to the potential noncompliance event to assess compliance
  • Work with organizational unit representatives and subject matter experts to perform cause evaluations of the potential noncompliance events and develop mitigation plans to minimize the risk of future similar noncompliance events
  • Interface with regulators to respond to data requests and regulatory inquiries; participate in settlement negotiations with regulators; execute settlement agreements; and manage penalty payments
  • Prepare regulatory filings for reporting of noncompliance events (e.g., self-reports, mitigation plans) and obtain officer approvals; submit regulatory filings to the regulator; and monitor associated regulator activity
  • Three (3) years of experience in conducting investigations, other assessments of potential noncompliance events, or performing cause evaluations; or experience in SCE’s transmission, distribution, generation or IT operations, maintenance or test
  • Three (3) plus years of experience in conducting investigations or other assessments of potential non-compliance events, performing cause evaluations, or tracking down operational, software or maintenance issues
  • Working knowledge of power delivery and SCE maintenance practices
  • Three (3) plus years of experience in interpreting CPUC, FERC or NERC regulations, and developing or assessing controls to help ensure compliance
  • Leading cross-organizational teams and ability to resolve issues in a timely manner to achieve project results
  • Ability to plan, organize, manage and schedule multiple investigations or projects simultaneously with minimum direction, often under tight time constraints and changing priorities
  • Experience obtaining factual information through interviews and the review of documentary material
  • Experience preparing oral and written investigative reports or similar documents
  • Strong analytical, problem solving, strategic thinking and decision-making skills and the ability to analyze regulatory and business problems and create innovative solutions
  • Ability to rapidly learn and assimilate complex and technical information in unfamiliar situations and be able to systematically gather relevant information from different sources to identify and manage resolution of problems or issues
  • Strong interpersonal, oral communications and consulting skills for building relationships, fostering two-way communications, interacting with all levels of management, and building and maintaining relationships with stakeholders, regulatory agency staff and external auditors
  • Ability to effectively communicate complex, sensitive, strategic, and sometimes unfavorable information in a concise and straightforward manner
  • Strong written communication skills including the ability to develop effective presentations, data request responses, testimony and other regulatory filings
  • Experience in identifying and evaluating modifications to Company and/or organizational unit internal controls, policies, processes, and systems and experience consulting with senior and executive management about such recommendations
234

EEO / Regulatory Compliance Consultant Resume Examples & Samples

  • Coordination of Action Oriented Programs for each Controlling Establishment
  • Collaborate with Recruitment, Human Resources and Diversity & Inclusion to assist in identifying national and local targeted Outreach Efforts specific to women, minorities, individuals with disabilities and protected veterans
  • Provide guidance and support to Recruitment and Human Resources to schedule local targeted outreach efforts
  • Partner with Recruitment, Human Resources and Diversity & Inclusion to establish and maintain local employment partnerships
  • Monitor and manage outreach activity documentation
  • Monitor and manage completion of outreach event post-survey
  • Analyze post-survey data for effectiveness of outreach events
  • Prepare and submit FCC 396-C Reports annually
  • Assist with OFCCP audits as needed
  • Other projects/assignments as needed specific to Regulatory Compliance
235

Regulatory Compliance Rep Resume Examples & Samples

  • Investigate Company actions of PUC regulations and internal procedures for gas and electric accounts
  • Preparation and completion of reports and related case documents for informal complaints through investigation of Company actions and review of internal procedures for gas and electric accounts
  • Identify, investigate and respond to violations revealed during case review, discuss with supervisor and alert when case information is not received in a timely manner
  • Intake of mediations and consumer complaints from BCS and distribution of BCS decisions. Serve as resource for peers within the Company. Prepare and submit special compliance reports as required. Record maintenance duties: stay register upkeep, filing. Assist with work share - Compliance Overview. Monday Plan and Outreach
  • Expertise of Chapter 56 and Chapter 14 regulations, and UGI Gas/Electric Tariff
  • Full knowledge of UGI Credit and Collection, Billing, and Universal services, policies and procedures
  • Ability to work independently, conduct thorough investigations, and make good decisions
  • Effective Verbal and written communication skills
  • Full understanding and the ability to navigate within the CIS and ECIS main frame
236

Senior VP Americas Head of Regulatory Compliance HSS Resume Examples & Samples

  • Conducts visits to each country / business on a rotational and risk-assessed basis. Typically, each country should be visited once every 18 months subject to any trigger events
  • Minimum of 15 years operations, compliance and/or legal management experience, or equivalent, with proven and progressive financial services institution
  • Broad scope of knowledge of assigned businesses, including products, operations, systems, and organization and full understanding of all significant regulatory compliance requirements applicable to assigned business(es)
  • Excellent interpersonal and communication skills (verbal and written)
237

Regulatory Compliance Coordinator Resume Examples & Samples

  • Maintain and post OSHA log as required by law
  • Create and update evacuation maps; design and conduct emergency preparedness *drills
  • Determine appropriate earthquake preparedness information for dissemination to *employees
  • Responsible for fire prevention and suppression equipment, information and *training
  • Responsible to maintain an active emergency response team and train appropriate *personnel on chemical spill response
  • Administer MSDS and AQMD program
  • Provide information on proper handling, labeling and storage of hazardous *materials and ensure that appropriate personnel are trained as required
  • Ensure that confined space hazards are identified, personnel trained as required *and equipment and information are up to date
238

Mgr Regulatory Compliance Resume Examples & Samples

  • Provides business direction and ensures regulatory compliance for all gas mains, services, and transmission lines
  • Provides technical guidance in the design, operation and maintenance of cathodic protection systems
  • Develops strategies for improving both productivity and cost competitiveness while maintaining quality
  • Develops and tracks program performance vs. plan
  • Interfaces with and builds credibility with the PUC
  • Routinely leads/participates in projects outside of corrosion group. (e. g. , safety programs, company initiatives)
  • Direct Reports; (43)
  • 2 - Senior Operations Work Control Analysts
  • 1 - Operations Coordinator
  • 2 - Supervisors
  • 4 - Foreman
  • 34 - Mechanics
  • Budget: $24M annually
  • On the PECO Energy gas distribution system: Manage Corrosion Compliance including 7272 annual periodic readings. ; Manage maintenance and repair of corrosion control systems. ; Manage mobile leak survey of 3000 miles per year. ; Manage service leak survey of 110, 000 per year. ; Known leaks are to be re-surveyed every 180 days to maintain compliance. ; Manage contractors that perform Indoor Gas Meter Leak Survey for 79, 000 customers. ; Manage various regulatory inspections and corrective maintenance task completion including: emergency valve, regulator stations, bridge, and transmission line
239

Senior Regulatory Compliance Engineer Resume Examples & Samples

  • Degree in Electrical Engineering, or relevant field
  • 10+ years’ experience as a Regulatory engineer with a strong background in telecommunication design and EMC/Safety testing
  • Multi-disciplined in the areas of Safety, EMC, Radio, Telecom, Environmental
  • Experience working with multiple global and country-specific certification bodies e.g. CSA, Anatel, CQC, ACMA
  • Detailed familiarity with European Directives such as EMC, LVD, RTTE, RED, RoHS, REACH
  • Familiarity with internationally adopted standards such as 60950-1, 55022, 55024, 301 489, 301 406, 300 328 etc
  • Skilled at EMC/Radio emissions and immunity debugging and testing
  • Work in a team environment supporting the development phase of new products including but not limited to schematic /PCB design reviews
  • Strong technical writing/editing skills to review and manage written controls and governance documents (e.g. SOPs and guidelines)
  • Excellent strategic thinking, analytical, and problem solving skills that are pragmatic and which demonstrate a strong understanding of the business
  • Proven track record in being able to analyze complex situations to determine root cause
240

Regulatory Compliance Supervisor Resume Examples & Samples

  • Review product labels (new or revised) for "completeness" and accuracy with regards to State and Federal regulations. Must give or designate final acceptance to all new or modified labels for Companion Animal (CA) and Aquatics (AQ) chemical products, hard goods, grooming, etc
  • Supervise international projects and registrations
  • Supervise regulatory compliance associates and specialists assigned to product renewals and tonnages for all chemical products as required. Supervise Regulatory Associate for Chemical Products and International Registration
  • Manage regulatory projects through the New Product Development (NPD) process as they arise, for example changes to regulations which require label changes such as Prop 65
  • Review export orders and shipment orders as needed for compliance
  • Interface with Germany and other source vendors for product label compliance
  • Interface with, and make full use of, Legal Department and outside consultants with regards to compliance issues
  • Interface with state inquiries regarding Stop Sales, labeling issues and other
  • Support CA & AQ Product Managers regarding new or modified label claims and format. Recommend acceptable terminology and allowable claims based on efficiency and scientific test data as supplied by the source of the product and legal guidelines
  • Manage the Wercs database and all entries as needed
  • Bachelor's degree in Chemistry, Biology or other science, Regulatory or related field
  • 5+ years’ experience in regulatory or related field preferred
  • Experience with federal and state regulatory agencies. International regulatory experience preferred
  • Specific experience with FDA, Prop 65, and/or International regulations preferred
  • Articulate and able to communicate effectively throughout the organization and to external professionals and regulators
  • Knowledge of SAP and Cubes a plus
  • Knowledge of the Wercs database a plus
241

Bank Regulatory Compliance Resume Examples & Samples

  • Background in bank products and services, support functions and regulations
  • Background in producing performance and risk metrics
  • Experience with project workflow tools
  • Experience with MS Outlook, Excel, Word, PowerPoint
  • Data management, project management,
  • Bank regulatory, bank examination, bank operations
  • Bachelors of Science
  • Professional certification in project management, data management programs
  • English (French a plus)
242

Federal Advisory Pdm-regulatory & Compliance Resume Examples & Samples

  • Typically has 3 or more years of consulting and/or industry experience
  • Experience in supporting the identification, assessment, measurement, prioritization, response, monitoring and/or reporting on a wide range of risks expected for a federal agency
  • Ability to support the development of innovative risk analysis frameworks and apply risk management solutions and/or techniques. Good executive presence, client presentation and deliverables development
  • Experience leading ERM implementations
243

IT Lead, Regulatory Compliance Resume Examples & Samples

  • Bachelor’s Degree in Information Technology, Computer Science, or any other Scientific or Technical field required
  • Minimum of 3 years of experience in Quality and Regulatory Compliance global and regulated healthcare environment
  • Experienced knowledge of Quality System regulations, ISO, ICH, PIC/S, and cGMP regulations, including Annex 11, 21 CFR Part 11, Part 210, Part 211 and Part 820, and how these apply to Computer Systems required
  • Experienced with IT internal controls, SDLC methodologies, GAMP5, and data integrity requirements required
  • Experience interpreting regulations and translating regulatory requirements into practical strategies required
  • Demonstrated experience in writing compliance documentation as well as the ability to analyze and interpret regulatory documents is required
  • Excellent verbal and written communication skills and the ability to influence, negotiate, inspire trust, and quickly build credibility to enable the achievement of mutual goals
  • Strong skills in interdependent partnering to facilitate collaboration and the ability to work effectively in a virtual team environment
  • Ability to perform work with a high degree of independence and proven experience in driving progress and remaining focused under ambiguous and complex situations.Info Technology
244

Regulatory Compliance Project Manager Resume Examples & Samples

  • To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. Other minor duties may be assigned
  • Ensure compliance with client and government regulations by performing necessary inspections and reporting. Resolve all issues in a timely manner
  • Administer client and vendor financial obligations including invoicing, reporting and contracts
  • Ensures project meets all regulatory compliance requirements
  • Direct supervision of approximately 0 to 10 full-time operations level employees
  • Experience: 5 years of regulatory compliance experience (in addition to education requirement)
  • Strong leadership and relationship building skills
  • Self-motivated and directed with a keen sense of urgency to deliver results
245

Programme Leader Regulatory & Compliance Resume Examples & Samples

  • Maintain a high level understanding of regulatory and compliance policies
  • Ownership of assigned projects from scoping to completion
  • Accountable for assigned project deliverables
  • Manage capabilities and resources in response to changing business dynamics
  • Define and monitor policies and procedures in programme scope
  • Manage external project resources which includes multiple vendors
  • Establish effective stakeholder management with business and front line organisations
  • Maintain business continuity during ongoing IT landscape changes or developments
  • Comply with full project reporting & governance to IT PMO
  • Manage dependencies
  • Provide people management and development
  • Implement high quality programmes
  • Acts as escalation point for issue resolution
  • Has leadership responsibility for project team
  • Own and manage project budgets
  • Ensure that the business strategy and the IT strategy are in alignment in an efficient, sustainable, agile and adaptable manner
  • Bachelor degree in Computer Science or related experience / certifications
  • 5+ years experience in Project Management
  • Proven leadership experience and people management skills - Atleast 10 years experience
  • Experience driving a culture of change, transformation and continuous improvement in an IT leadership role
  • Setting strategic direction & business transformation
  • Good analytical skills, innovative and problem solving skills
  • Strong communication and advisory skills
246

Dir Nerc Regulatory Compliance Resume Examples & Samples

  • Oversees the various AEP business units’ overall compliance workflow to ensure the required coordination of the process and procedures to support the NERC Compliance monitoring and enforcement functions per the NERC Rules of Procedure and Regional Entity audit schedules
  • Directs and ensures the strategic development of policy, protocols and procedures at the corporate level in support of consistency and uniformity
  • Assists with resolving NERC Standard interpretation issues
  • Directs AEP’s NERC incident management process, including overseeing investigations and mitigation plan development
  • Responsible for AEP’s relationships with NERC and the regional entities and directs the primary compliance contact function
  • Directs and leads AEP’s overall facilitation, coordination and development of comments and balloting positions on NERC and Regional Reliability draft Standards
  • Directs external advocacy efforts with FERC, NERC, and the regional entities for NERC compliance issues
  • Responsible for leading, coordinating and facilitating AEP’s Corporate Reliability Compliance Committee (RCC) which is comprised of AEP’s senior business unit executives. Provide strategic guidance and direction for complying with new and emerging NERC Reliability and CIP compliance standards
  • Oversees impacted business units’ compliance plans, policies and processes by establishing measurable goals, metrics, objectives and requirements relative to AEP’s Reliability Compliance Program and presents for review and approval by the RCC
247

Product Regulatory Compliance Leader Resume Examples & Samples

  • Bachelor's Degree from an accredited college or university in a legal or technical field (or high school diploma with 10 years relevant product regulatory experience)
  • Minimum of 5 years product regulatory expertise in Korea and demonstrated understanding of product regulation process – advocacy, legislative, government structure
  • Minimum of 3 years of experience working cross-functionally to create the methods and requirements to place and maintain products on the Korean market
  • Korean speaker who can communicate with Regulatory body and related committees
  • Master’s Degree from an accredited college or university in a legal or technical field
  • Experience working in a highly regulated industry, preferably with time spent directly in product regulatory roles
  • >10 years relevant manufacturing, quality or product regulatory compliance experience
  • Knowledge/Experience with government affairs or working with government authorities
  • Proven ability to work cross-functionally and with global, virtual teams
  • Passion for people development, and willingness to take risks
  • Proven mentoring and coaching abilities; demonstrated ability to motivate & inspire others
  • Excellent communication, influencing skills and ability to influence and collaborate effectively across functions
  • Demonstrated ability to deliver results while working on multiple projects simultaneously, balancing resources, timing and quality of outcomes
  • Demonstrated ability to work outside of reporting structures
248

Regulatory Compliance Associate Resume Examples & Samples

  • Assists with any recall actions as well as to gather data as needed to assist with any recall actions
  • Performs/Assists with internal quality system audits for compliance to domestic and international regulations/standards and documents results for management review
  • Maintains the CAPA system. Reviews and approves CAPAs; participates in the CAPA Board. Conduct, write, and own CAPA investigations to determine the probable and verified root causes for nonconformities/out-of-specification events. Assist CAPA Process Owners with the planning, implementation, verification, and documentation of Corrective and Preventive Actions
  • Monitors the success and effectiveness of completed corrective actions that all ensure that all regulatory requirements are met
  • Ensures that the CAPA systems resulting from investigations of complaints, product rejections, recalls, deviations, audits, regulatory inspections and findings, and trends, etc. provide proactive approaches to identify, evaluate and control risks to quality
  • Participates in external quality system audits conducted by FDA, notified bodies, other country regulatory agencies (ANVISA, KFDA, PMDA), and Zimmer Biomet personnel or consultants
  • Schedules and performs routine collaborations with CAPA owners, interface with CAPA Coordinator to perform timely processing of assigned CAPA files
  • Reviews and approves software & process validation changes to ensure compliance to domestic and international regulations
  • Assists in preparing quality system reports and generation of data to compile in reports
  • Other activities as assigned by Manager
249

Adv Regulatory Compliance Representative Resume Examples & Samples

  • Completes required regulatory activities in support of drilling operations including tracking of well in the drill ready tracker, proofing and approving plats, filing regulatory notification/forms (e.g., SWR 37/38, P12, H9, etc.), filling for drilling permits with state and city
  • Prepares and files GW-1 with the Groundwater Advisory Unit
  • Prepares and files alternate surface casing permit as needed
  • Prepares and submits Injection and Saltwater Disposal Permit
  • Completes annual P-5 Authority to Operate filing including communicating relevant requirements to operations, preparation and submittal of W-3C, obtaining Letters of Credit for Texas Operations, and tracking inactive wells
  • Prepares and submits completion reports
  • Monitors flaring volumes and requests permit renewals
  • Completes and submits Surface Commingling Permits
  • Monitors production reports to verify classification of wells, production volume, lease identification and commingling permits match
  • Works with Workover Team to file Well Record Only’s (WRO) to TRRC
  • Reviews proration schedule and submits necessary documentation to maintain allowables
  • Tracks and compiles well logs for TRRC following confidentiality period
  • Prepares and submits other required regulatory submittals including filings related to bonding, production disposition, commingling, city permits, annual submittals, well integrity testing, notice of violations, etc
  • Evaluates newly constructed pipeline segments to determine permit requirements
  • Prepares and submits permit documents and maintains permit records
  • Monitors status of regulatory submittals and follows up with regulatory agencies to ensure timely submittals and approvals
  • Assists in the development of compliance systems and documents to ensure ongoing communication of compliance issues to Eagle Ford Regulatory Compliance Supervisor and Asset Team
  • Understands current regulations and their impact on the Eagle Ford Asset
  • Establish and maintains good working relationships to help ensure Marathon lives its values with key stakeholders, including team members, contract companies, regulatory agencies and members of the public
  • Assumes position in on-call rotations
  • Maintains familiarity with Asset’s emergency response plans and incident command system and fulfills role in the Asset’s incident command structure as assigned
250

Director Regulatory Compliance Resume Examples & Samples

  • Manage a large QA team of around 40 graduate auditors, providing services in Edinburgh and to various locations around Europe
  • Optimise auditing processes and standards within Charles River Edinburgh
  • Ensure through training and development programmes that staff are equipped with up-to-date knowledge of industry standards, regulatory requirements and required auditing skills
  • Maintain contact with regulatory organizations, industry groups and other sources to ensure contemporary perspectives on compliance
  • Provide regulatory guidance to Charles River staff and clients when necessary
  • Implement performance metrics to drive the quality programme
  • Oversee commitments to clients and regulators, ensuring corrective and preventative actions are fulfilled
  • Support and promote corporate wide processes