Safety, Quality and Compliance Specialist Chick-fil-A Supply LLCSafety, Quality and Compliance SpecialistCartersville, GeorgiaResponsibilities: As the SQC Specialist, you will be responsible for motivating warehouse and fleet team members, evaluating and mitigating risks, executing contingency plans, training on food safety requirements and other regulatory compliance, and much more to ensure Chick-fil-A Supply complies with all federal, state and local laws and regulations. Overview: As the Safety, Quality & Compliance (“SQC”) Specialist of the Chick-fil-A Supply Distribution Center in Cartersville GA, you will support the application of regulatory compliance in multiple areas, including food safety quality assurance (“FSQA”) and environmental, health and safety (“EHS”).
NewAmericas Technology and Data Risk Leader - Associate Director Ernst & Young Global LtdAmericas Technology and Data Risk Leader - Associate DirectorAtlanta, GA$152,700–$294,000 / yearThe role is designed for a senior leader who can translate complex technical risk and control concepts into clear, business-friendly guidance; influence senior stakeholders across Area, Regional and Member Firm leadership; and ensure that risk mitigation strategies are practical, well sponsored and consistently executed. If you have a disability and either need assistance applying online or need to request an accommodation during any part of the application process, please call 1-800-EY-HELP3, select Option 2 for candidate related inquiries, then select Option 1 for candidate queries and finally select Option 2 for candidates with an inquiry which will route you to EY's Talent Shared Services Team (TSS) or email the TSS at ssc.customersupport@ey.com.
Strategic Account Manager - Cybersecurity and Risk Consulting RSM US LLPStrategic Account Manager - Cybersecurity and Risk ConsultingAtlanta Metro Area, GA$102,800–$176,000 / yearDrive year-over-year organic revenue growth within assigned accounts through renewals, upsells, and cross-sells of cyber and risk services, including cyber strategy and governance, technology risk, IT audit, regulatory compliance, privacy, data protection, third-party risk management, cloud security, incident readiness, and managed risk services. Collaborate with cyber strategists, risk advisors, IT audit professionals, compliance specialists, privacy practitioners, cloud security architects, incident response leaders, and managed services teams to design and scope integrated solutions addressing clients' highest-priority cyber and enterprise risk challenges.
Risk Reporting And Analytics Manager FinastraRisk Reporting And Analytics ManagerAtlanta, GAThis role is ideal for someone who enjoys building dashboards and analytics solutions, improving reporting processes, and helping stakeholders better understand performance, trends, risks, and opportunities through data. Finastra is seeking a Risk Reporting and Analytics Manager to design, build, and evolve scalable reporting, dashboarding, analytics, and insight-generation capabilities that help business and risk leaders make more informed decisions.
Senior Customs and Trade Compliance Analyst Dr. Ing. h.c. F. Porsche AGSenior Customs and Trade Compliance AnalystAtlanta, GA$90,000–$105,000 / yearCustoms Trade Compliance: Conduct post entry audits (ICS support function), identify and report to PCNA management any potential violations of trade compliance laws and compliance violations and any incidents involving significant weaknesses in processes or procedures. (PCL), Porsche Design of America (PDoA), Porsche Latin America (PLA), and Canadian dealers on proper customs procedures for import/export matters; ensuring compliance with all relevant customs regulations and trade laws.
SENIOR TECHNOLOGY CONTROLS AND COMPLIANCE ANALYST- REMOTE Compass Group North AmericaSENIOR TECHNOLOGY CONTROLS AND COMPLIANCE ANALYST- REMOTEGARemote$115,000–$130,000 / yearCombining regulatory acumen with technical knowledge, this Controls & Compliance Sr Analyst role will assist in improving regulatory compliance by partnering with It and business teams. As the leading foodservice and support services company, Compass Group USA is known for our great people, great service and our great results.
Compliance and Safety Analyst III Chesapeake Utilities CorpCompliance and Safety Analyst IIIAtlanta, GAThe Compliance & Safety Analyst serves as a trusted advisor and consultative partner to Operations, Compliance, IT, and leadership teams, leading cross-functional initiatives that enhance compliance performance, improve business processes, strengthen data integrity, and promote continuous improvement across operating divisions. What youll be working on: Designs, develops, and serves as the enterprise owner of SAP-based compliance reporting solutions, dashboards, metrics, and analytics that support regulatory compliance, operational performance, risk mitigation, and business decision-making.
NewClaims and Compliance Manager Lazer Logistics IncClaims and Compliance ManagerAlpharetta, GAOversee the administration and management of Auto Liability, General Liability, Property, Cargo Loss, and Environmental claims in the US within assigned regions in accordance with Lazer Spot''s Claim Handling SOPs, serving in the Claims Management capacity rather than adjuster authority. The Claims and Compliance Manager is a member of the Safety and Risk Management team, accountable for the oversight and governance of Auto Liability, General Liability, Property, Cargo, and Environmental claims in alignment with Lazer Logistics'' Claim Handling SOPs.
Associate Director of Governance, Compliance, and Organizational Standards Campus Life Emory UniversityAssociate Director of Governance, Compliance, and Organizational Standards Campus LifeAtlanta, GARemoteMINIMUM QUALIFICATIONS: A master''s degree in higher education, leadership, or other related areas, and three years of related experience managing central student organizations and other associated governing bodies, OR an equivalent combination of education, training, and experience. Serves as a member of the Center for Leadership & Engagement leadership team, contributing to departmental strategy, staffing models, policy alignment, and long-term planning in partnership with the Director.
Associate Director of Governance, Compliance, and Organizational Standards - Campus Life Emory UniversityAssociate Director of Governance, Compliance, and Organizational Standards - Campus LifeAtlanta, GeorgiaFull timeMINIMUM QUALIFICATIONS: A master's degree in higher education, leadership, or other related areas, and three years of related experience managing central student organizations and other associated governing bodies, OR an equivalent combination of education, training, and experience. Serves as a member of the Center for Leadership & Engagement leadership team, contributing to departmental strategy, staffing models, policy alignment, and long-term planning in partnership with the Director.
Trade and Customs Compliance Manager QcellsTrade and Customs Compliance ManagerCartersville, GAEnsure adherence with Broker SOPs · Maintain tariff classification database · Assist with value and origin assessments · Conduct post-entry audits of Customs entries · Manage retention of import records · Liaise with Qcells legal and management teams · Understand internal ERP systems. The company brings a decade of global leadership in solar PV to North America, combining best-of-world technology, processes, and partnerships to deliver utility-grade solar PV solutions customized for the US energy market.
Head of Fraud Servicing, QA and Risk U.S. BancorpHead of Fraud Servicing, QA and RiskAtlanta, GA$170,255–$200,300 / yearThe role leads a large, multi‑layer organization and plays a key leadership role in service model evolution, ensuring service continuity, strong client relationships, and consistent outcomes during periods of operational and organizational change. The Consumer, Business and Wealth Servicing (CBWS) contact center at U.S. Bank is a consolidated client service organization designed to provide multi-channel, inbound and outbound servicing across consumer, small business, partner card, and wealth clients.
Manager - Trade Credit Services - Portfolio Risk and Monitoring The Home Depot IncManager - Trade Credit Services - Portfolio Risk and MonitoringAtlanta, GAReserve Management: Partner with Finance and Accounting to calculate and manage the Allowance for Doubtful Accounts (bad debt reserves) using predictive modeling. Preferred Education: The knowledge, skills and abilities typically acquired through the completion of a bachelor's degree program or equivalent degree in a field of study related to the job.
Manager of Information Security and Compliance iBoss CybersecurityManager of Information Security and ComplianceAtlanta, GAIn addition to managing internal security policies, this role will be the primary point of contact for client assessments and external audit engagements, ensuring all compliance obligations are met and supporting key security programs, including contingency planning, configuration management, security awareness, client assurance, and change management. The Director of Information Security & Compliance will develop and implement security policies and align organizational practices with industry frameworks such as ISO 27001, ISO 9001, SOC 1/2, Cyber Essentials, and FedRAMP to ensure continuous monitoring of security controls and incident response readiness.
Sr Manager, Enterprise Risk and Investigations Fidelity National Information Services IncSr Manager, Enterprise Risk and InvestigationsAtlanta, GAPayments Fraud: The candidate should understand how fraud risk differs across consumer, small business, commercial, and institutional payment flows, and should have broad payments fraud expertise across traditional and emerging payment rails, including ACH fraud, Wire transfer fraud, RTP and FedNow fraud, P2P payment fraud, Digital wallet fraud, Business email compromise, Authorized push payment scams, Invoice redirection fraud, Payroll diversion schemes, Corporate payments fraud, Mule account activity, and Cross-channel fraud migration. Capital Markets and Securities Fraud: For capital markets and securities-related products, the candidate should understand how fraud, operational risk, AML, and market conduct risks intersect in capital markets environments, such as Unauthorized trading, Insider trading indicators, Market manipulation, Wash trading, Spoofing and layering, Client asset transfer fraud, Custody-related fraud, Investment account takeover, and Beneficiary change fraud, Distribution fraud, Fraud risks affecting broker-dealers, custodians, asset managers, and institutional trading platforms, and Employee misconduct.
Chief Compliance Officer (Cco) For Truist Investment Services, Inc. And Truist Advisory Services, Inc. Truist Financial CorporationChief Compliance Officer (Cco) For Truist Investment Services, Inc. And Truist Advisory Services, Inc.Atlanta, GA$200,000–$290,000 / yearRIA expertise and coordination: Provide compliance leadership for advisory activities within an SEC-registered RIA framework (including Advisers Act obligations such as disclosures, conflicts management, Code of Ethics oversight, and best execution), and coordinate broker-dealer/RIA requirements to promote consistent client outcomes and a cohesive control environment. Please review the following job description: The Chief Compliance Officer (CCO) for Truist Investment Services, Inc. and Truist Advisory Services, Inc. is responsible for leading an integrated broker-dealer and SEC-registered registered investment adviser (RIA) compliance program and serving as the primary regulatory-facing executive for the firms.
Regulatory and Compliance Sr. Engineer Rinnai CorpRegulatory and Compliance Sr. EngineerPeachtree City, GARinnai America Corporation is the leader in tankless water heating, a technology that is growing rapidly as businesses and homes "yank the tank" and convert to an efficient, endless supply of hot water and the only tankless water heating manufacturer in the US. Working knowledge of DOE, ENERGY STAR, AHRI, CSA, UL, ANSI, EPA, NOx, air quality district, and product safety processes applicable to appliances or HVAC/water heating products.
NewSafety, Quality and Compliance Specialist CFA Properties, Inc.Safety, Quality and Compliance SpecialistCartersville, GAAs the SQC Specialist, you will be responsible for motivating warehouse and fleet team members, evaluating and mitigating risks, executing contingency plans, training on food safety requirements and other regulatory compliance, and much more to ensure Chick-fil-A Supply complies with all federal, state and local laws and regulations. Chick-fil-A Supply, a wholly owned subsidiary of Chick-fil-A, Inc., is an innovative distribution service provider focused on understanding and meeting the unique needs of Chick-fil-A restaurants.
Manager - Field Service Compliance and Safety WESCO International IncManager - Field Service Compliance and SafetyFairburn, GAAs the Manager - Field Service Compliance and Safety, you will support field service operations by developing, implementing, and administering safety programs, procedures, training, and compliance activities aligned with the organization''s environmental, health, and safety initiatives. Create and deliver daily and weekly Tailgate Talks and develop specialized internal safety training as needed, including training related to spotter practices, battery storage, and other operational safety topics.
IA Compliance Policies, Procedures and Testing Manager Osaic IncIA Compliance Policies, Procedures and Testing ManagerAtlanta, GA$125,000–$135,000 / yearWe celebrate diversity in our workplace and we hire the most qualified candidates without regard for age, ethnicity, gender, gender identity or expression, language differences, nationality or national origin, family or marital status, physical, mental, and developmental abilities (or the perception of a disability), genetic information, race, religion or belief, sexual orientation, skin color, social or economic class, education, work and behavioral styles, political affiliation, military service, caste, or any other characteristic protected by law. Summary: IA Compliance Policies, Procedures and Testing Manager will be responsible for oversight and execution of the Firm's RIA Compliance Program which includes but is not limited to ongoing administration, new policy formulation, risk assessment, testing and regulatory filings.