It is the first national laboratory created by DHS in response to biodefense gaps identified following the Amerithrax attacks of 2001 and has been operated by the Battelle National Biodefense Institute (BNBI) since 2006.. Committees to be supported include the Institutional Animal Care and Use Committee (IACUC), the Institutional Biosafety Committee (IBC), the Institutional Safety Committee (ISC), the Institutional Review Committee (IRC), and the Human Subjects Research Committee (HSRC).. Prior experience with IACUC, IBC, or IRB management software is desirable.. Must be a citizen of the United States, able to obtain and maintain an interim secret clearance leading to a top-secret clearance and suitability for DHS. Participation in the Immunization Program, Medical Surveillance Program, and/or enrollment in the Personnel Reliability Program (PRP) may be required, dependent upon position and/or business needs.. PRIMARY RESPONSIBILITIES Serves as the liaison between Principal Investigators (PIs), Institutional Official (IO), other staff and the IACUC, IBC, ISC, IRC, and HSRC. This includes providing timely and accurate guidance to PIs and staff regarding the requirements of, and submissions to, each committee.
ZEEKR US is seeking a motivated self-starter to immediately become an integral part of the ZEEKR Regulatory Affairs team.. This role will serve as the primary contact for compliance research, analysis, and interpretation that involves a high degree of tact, effectiveness, and diplomacy in interpreting and in communicating regulatory compliance issues.. A minimum of 5 years of experience in Compliance or a related field; preference to those with a background in the US automotive industry and/or regulatory affairs. Mastery with document management systems such as DocuSign and SharePoint are a plus. Living in or nearby the San Jose/Bay Area, Phoenix, Arizona, Washington DC, or Southern California areas is a plus.
The Director of Regulatory Compliance has the responsibility of assisting in the management and maintenance of the Company's obligations related to the supervision and reporting of Company's anti-money laundering ('AML') program and related activities.. He/she reports directly to the Vice President of Regulatory Affairs/Chief Compliance Officer (VRPA) and supervises directly the AML Manager.. Oversees staff to include AML Manager, Senior Analysts and AML Analysts.. With the assistance of appropriate departments in the organization, the position is responsible to ensure there is proper training of the company's personnel on respective AML/BSA policies, practices and the relevant regulations.. Oversee Company Title 31 EDD/CIP/KYC/Subpoena Program.
Crescent Midstream is an independent energy company providing safe and reliable crude oil services across the Gulf of Mexico and Louisiana. With a team of seasoned midstream experts, we optimize pipelines connecting offshore and onshore assets to key trading points. Proficient knowledge of DOT, BSEE, PHMSA, and EPA requirements as they apply to pipeline and environmental regulations. Valid driver’s license, clean driving record, and TWIC card required; ability to pass drug and alcohol pre-employment and ongoing screenings. Ensure ongoing compliance with federal, state, and local regulations, including environmental requirements, hazardous waste handling, and emergency response.
Korn Ferry has partnered with our client on their search for Regulatory & Compliance, Industrial Chemicals. Participate and in some cases lead project management activities that are in line with strategic initiatives and goals.. Conduct audits and gap analysis, among other activities to ensure regulatory compliance.. Bachelors Degree in Chemistry, Environmental Science, or related field.. 2+ years of regulation and compliance professional experience in the chemical or similar industry such as nutrition, ingredients, water treatment, personal care/cosmetics, CASE, colorants, industrial additives, etc.
Monitor and confirm compliance with operational and technical requirements of the Federal Energy Regulatory Commission (FERC), NERC, PJM Interconnection (PJM), and ReliabilityFirst (RF) including scheduled requests, self-certifications, data submittals, randomly selected spot checks, continual maintenance of evidence, investigations (both internal and external), self-reports and mitigation plans.. Verify compliance with FERC, NERC, RF and PJM policies and standards and identifying opportunities for improvement in procedures and practices.. Participate in the coordination of Compliance Audits by FERC, NERC, PJM and/or RF. This responsibility includes internal and external coordination, as well as organization, review and preparation of audit workbooks and evidence.. Maintain NERC compliance management database for required filings as well as database to assign, track and monitor compliance efforts.. Work closely with the Director, NERC Compliance, the Senior Manager, Regulatory Compliance and the Chief Compliance Officer in development and maintenance of the NERC Operations and Planning regulatory compliance program.
The Head of Regulatory Compliance is directly accountable for regulatory compliance matters, the preparation and filing of regulatory filings, and for the oversight of the compliance review and approvals of marketing materials and external communications under firm policies and applicable regulatory regulations for Harris Associates L.P. (SEC registered investment adviser) and for Harris Associates Securities L.P. (limited purpose broker-dealer). Prepare and submit regulatory filings, including, but not limited to: Form ADV, Form CRS, Form BD, Form PF, Bureau of Economic Analysis (BE-11; BE-180; BE-15, BE-10A), Bank Holding Company Reporting, Fed TIC filings (B, S, D, SLT, SH-C/A/LA), 13 G & F, 13h-1 (Large Trader), Forms U4/U5, FINRA Contacts, etc. Coach, develop and advise team members focused on Volcker rule compliance, financial crimes monitoring and reporting, including AML and global sanctions. Benefits include, but are not limited to; medical, prescription drug, dental and vision insurance, paid time off, profit sharing plan, 401k plan, tuition reimbursement, commuter and holistic wellness benefits along with volunteer programs. Disabilities include, but are not limited to: Autism, Autoimmune disorder, for example, lupus, fibromyalgia, rheumatoid arthritis, or HIV/AIDS. Blind or low vision, Cancer, Cardiovascular or heart disease, Celiac disease, Cerebral palsy, Deaf or hard of hearing, Depression or anxiety, Diabetes, Epilepsy, Gastrointestinal disorders, for example, Crohn's Disease, or irritable bowel syndrome, Intellectual disability, Missing limbs or partially missing limbs.
The Sr. Regulatory Compliance Specialist works cross functionally with Research & Development, Sales, Marketing, and Quality Assurance, as well as directly with customers to provide all aspects of Food Labeling and Regulatory information. Understands Identity Preserved product requirements (GMO, Organic, Gluten Free, Kosher, Halal). Signs all in-house verifications for: nutrition panels, specification sheets and range formulas, country of origin, allergen sheets, Non-GMO / Bio-Engineered and International documents. Updates formula databases and record maintenance in Plex ERP system. Process Controls Qualified Individual (PCQI).
The Sr Regulatory Compliance Specialist position maintains documentation for clinical research studies, case report forms and study and regulatory files.. The Sr Regulatory Compliance Specialist position contributes directly to internal departmental monitoring and research education as identified by the Manager or Director.. Role models behaviors that are congruent with cultural diversity, equity, and inclusion principles.. Ensures compliance of general and study-specific regulatory and/or safety-related processes with SOP's, FDA, GCP, NIH and applicable regulations.. CCRC - Certified Clinical Research Coordinator (ACRP) OR
As a Regulatory Compliance and Operational Risk Manager, you will get the opportunity to grow and contribute to our clients' business needs by providing in-depth technical knowledge on emerging regulations and help organizations leverage efficiencies within the Risk Advisory Practice – all with the resources, environment, and support to help you excel.. You’ll collaborate with teams to provide comprehensive compliance optimization strategies, to help clients remediate regulatory gaps, streamline operations and limit risk exposure.. From day one, you’ll be empowered by the greater Regulatory Compliance team to help clients make the moves that will help them achieve their vision and help you achieve more, confidently.. Strong oral and written communication, organizational, technical, and analytical skills Excellent teamwork and collaboration skills Can travel as needed The base salary range for this position in Manhattan only is between $138,200 to $207,400.
Develops and implements compliance policies as requested by the Compliance Director.. Works collaboratively with the Compliance Director in compiling agenda and materials for Audit and Compliance Committee of the Board of Directors, the Executive Compliance Committee, the Affiliate Compliance Officer Committees and other meetings as requested.. Prepares required HIPAA breach reporting for reporting submission and enters into current government reporting system as required after review by Compliance Director.. Handles Medicare billing and coding issues directly related to Medicare rules and regulations and HSCRC requirements.. Develops risk identified Action Plans as requested by the Compliance Director.
Education and Experience Bachelor degree or equivalent 5+ years of experience within natural gas industry Prefer project management experience.. Team Lead experience – demonstrated ability to coach and develop team members Algonquin Power & Utilities Corp. is a growing renewable energy and utility company with over $15 billion of assets across North America and internationally.. Our rapid growth has led both our regulated utility services and renewable energy business groups into different geographies and commodities, but our purpose remains unchanged – Sustaining Energy and Water for Life. Through our operating business (Liberty), we provide regulated electricity, water, and natural gas utility services to over 1 million customer connections, primarily in North America.. And, our growing portfolio of clean, renewable wind, solar, hydro and thermal power generation facilities represent over 3 GW of renewable generation capacity in operation and under construction.. What we offer Company funded Pension program 401k with Company match Full insurance benefits (health/dental/vision/life) Collaborative environment with a genuine flexible working policy Share purchase/match plan Defined Contribution savings plan Top Talent Program Volunteer paid days off Employee Assistance Program Achievement fund
A dynamic, detail-oriented, diligent, and effective influencer with can-do attitude to exercise initiative and handle several tasks and changing priorities; with the ability to prioritize and meet deadlines Due to the volume of applications, only selected candidates will be contacted by our Talent Team. Concordia University is an English-language institution of higher learning at which the primary language of instruction and research is English.. Territorial Acknowledgement Concordia University is located on unceded Indigenous lands.. Tiohtià:ke/Montreal is historically known as a gathering place for many First Nations.. Today, it is home to a diverse population of Indigenous and other peoples.. We respect the continued connections with the past, present and future in our ongoing relationships with Indigenous and other peoples within the Montreal community.
This role is responsible for assisting in the development of programs and strategies to ensure compliance with Property and Casualty adjuster licensing and continuing education state and federal laws, regulations, and company policies.. In addition, you will be accountable for promoting awareness of adjuster licensing compliance matters.. Regulatory Change Management (RCM): Oversee the review and communication of new or revised laws, regulations, bulletins, and regulatory publications applicable to Property and Casualty Claim adjuster licensing and continuing education.. Wellness Program: The Travelers wellness program is comprised of tools, discounts and resources that empower you to achieve your wellness goals and caregiving needs.. In addition, our mental health program provides access to free professional counseling services, health coaching and other resources to support your daily life needs.
to ensure the company's compliance with applicable regulations and help foster a culture of compliance within TMH. The ideal candidate should have the mindset of an “internal compliance officer,” be able to ask tough questions, have a passion for doing the right thing, and be comfortable with navigating ambiguity.. Essential Position Duties Regulatory & Compliance Understanding · Oversee the entire department's operations related to Regulatory Compliance (Emissions, Safety, Fire, Shock, Technology & Environmental), Trade Compliance (customs import/export), and our Foreign Trade Zone.· Identify regulatory compliance risks and vulnerabilities, develop risk mitigation measures, and oversee the implementation and monitoring of corrective action.. · Collaborate closely and coordinate with the Senior Regulatory Counsel to document regulatory processes (e.g., internal audits, inspections, certification renewals, etc. · Direct experience with emissions regulatory compliance, including working at or with regulatory agencies for Emissions, Safety Fire & Shock, Telematics and OAS, and Environmental).. o Relevant agencies include the following:o Emissions: EPA, CARB, ECCC, NOMo Safety, Fire, & Shock: ANSI, OSHA, RIA, UL, COSHA, UL C, CSA, UL MXo Telematics & OAS: FCC, ISED, NOM, IFTo Environmental: EPA, ECCC, Mexico· Experience leading cross-functional teams and training/mentoring team members.
This role has high visibility within the Somerset site and the greater organization as it touches various functional areas including: Supplier Quality, Regulatory Compliance, DEA, and Quality Management Systems.. This role is part of the Clinical Development and Supply division which is part of the broader Pharmaceutical and Consumer Health Segment within the Catalent Pharma Solutions LLC business structure.. is preferred Demonstrated experience with customer and internal audits is preferred Demonstrated experience with Health Authority Inspections (front or back room) is highly preferred Knowledge of pharmaceutical manufacturing equipment, laboratories, processes, facilities construction is a plus.. Catalent is an exciting and growing international company where employees work directly with pharma, biopharma and consumer health companies of all sizes to advance new medicines from early development to clinical trials and to the market.. Notice to Agency and Search Firm Representatives: Catalent Pharma Solutions (Catalent) is not accepting unsolicited resumes from agencies and/or search firms for this job posting.
What does diversity, equity, and inclusion mean to Plante Moran?. Your work will include, but not be limited to: Perform internal audit and consulting services related to the laws, regulations, and expectations associated with consumer protection, the Bank Secrecy Act and anti-money laundering requirements, and other general risk management activities such as model risk management and enterprise risk management programs.. Bachelors’ Degree in Accounting, Economics, Finance, Public Policy, Law a related field is preferred.. We are a nationally recognized public accounting, consulting, and wealth management firm, consistently ranked as one of FORTUNE magazine’s “100 Best Companies to Work For,” and “20 Best Workplaces in Consulting & Professional Services.”. Our supportive network of well-rounded professionals is excited to catapult your growth and help pave your pathway to professional excellence.
In particular, this person will be knowledgeable about all areas of maritime environmental compliance as they apply to cruise ships and their environmental operations relating to: ship emissions, waste, water and wastewater (ballast, grey, black). The Lead will work with both shipboard and shore side personnel on environmental compliance matters and continuous improvement. Serves as primary interface to Shipboard Officers, Shore side Marine Operations and Global Marine Technical Services for addressing new or existing environmental compliance requirements or challenges. This role includes providing timely notice to relevant parties (e.g., EOs, Shipboard Personnel, Shore side, Regulators) when corrective actions are needed. The shore side experience would include working as part of the team drafting and implementing Environmental Policies, experience in managerial coaching and team building of the Shipboard officers in charge of environmental compliance.
A world leader in the field of in vitro diagnostics for more than 60 years, bioMerieux provides diagnostic solutions which determine the source of disease and contamination to improve patient health and ensure consumer safety.. This regulatory compliance engineer works within the various engineering teams at bioMerieux to provide leadership and technical guidance relating to regulatory compliance activities.. Collaborates with research, development, released product design teams, regulatory affairs, and other departments in the organization to analyze complex issues, modify working methods, apply technical expertise in order to ensure compliance with new products, prevent compliance issues with released products, and collaborate with these teams to execute compliance programs in accordance with. Creating and maintaining compliance technical protocols, in conjunction with subject matter experts, and reviewing with engineering management.. If you are a qualified individual with a disability, you may request a reasonable accommodation in BioMerieux's or its affiliates' application process by contacting us via telephone at , by email at , or by dialing 711 for access to Telecommunications Relay Services (TRS).
Under supervision of the Director of the Compliance Testing Group "CTG, the Associate performs risk-based evaluations of Protective Life Corporation and its subsidiaries' regulatory compliance, adherence to policies and procedures, and operational effectiveness through the timely execution of compliance testing engagements.. Experience with Archer and audit data analysis/extraction tools a plus.. Certificates, Licenses and Registration: Certified Public Accountant (CPA), Certified Internal Auditor (CIA), and/or Certified Fraud Examiner (CFE), or Certified Regulatory Compliance Manager preferred.. In addition to offering comprehensive health, dental and vision insurance, we support emotional wellbeing through mental health benefits and an employee assistance program.. Some of the financial wellbeing benefits include contributions to healthcare accounts, a pension plan, and a 401(k) plan with Company matching.