NewPartner Attorney JobotPartner AttorneyCumming, GA$150,000–$200,000 / yearDeliver high-quality legal services across a broad range of areas, including business law, construction law, healthcare, employment law, labor and employment, mergers and acquisitions, corporate transactions, regulatory compliance, estate planning, cybersecurity, data protection, intellectual property, and real estate. A minimum of 7 years of experience as a practicing attorney, with a focus on business law, construction law, healthcare, employment law, labor and employment, mergers and acquisitions, corporate transactions, regulatory compliance, estate planning, cybersecurity, data protection, intellectual property, and real estate.
NewConstruction Law Paralegal Contracts, Compliance & Disputes SACK COMPANYConstruction Law Paralegal Contracts, Compliance & DisputesAtlanta, GACandidates must have an Associate's degree in paralegal studies, excellent analytical skills, and proficiency in Microsoft Office Suite. The role involves drafting and negotiating contracts, conducting legal research, and supporting the legal team in dispute management.
Senior Compliance Officer, Investments Compliance American International Group Inc (AIG)Senior Compliance Officer, Investments ComplianceAtlanta, GAWorking knowledge of NY, DE and PA U.S. State insurance investment regulation, along with NAIC Model Laws - Investments of Insurers Model Act; background understanding of the Investment Advisers Act of 1940 and the Investment Company Act of 1940 is a plus. The ideal candidate will have extensive regulatory asset management experience with a focus on U.S. domiciled insurance companies and will work closely with the Chief Compliance Officer in the day-to-day execution of the compliance program.
Compliance Officer Invesco LtdCompliance OfficerAtlanta, GAThe Department: The Office of the CCO is an Advisory Compliance function that supports the Americas region with compliance strategic initiatives, Board reporting, Canadian and U.S. sub-advised client oversight, and product risk - among other compliance functions. Pursuant to Invesco's Workplace Policy, employees are expected to comply with the firm's most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office.
Sr Export Compliance Officer Honeywell International IncSr Export Compliance OfficerAtlanta, GAAs a trusted partner, we provide actionable solutions and innovation through our Aerospace Technologies, Building Automation, Energy and Sustainability Solutions, and Industrial Automation business segments - powered by our Honeywell Forge software - that help make the world smarter, safer and more sustainable. We are a leading software-industrial company committed to introducing state of the art technology solutions to improve efficiency, productivity, sustainability, and safety in high growth businesses in broad-based, attractive industrial end markets.
Compliance Officer InvescoCompliance OfficerAtlanta, GeorgiaPursuant to Invesco’s Workplace Policy, employees are expected to comply with the firm’s most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office. The Office of the CCO is an Advisory Compliance function that supports the Americas region with compliance strategic initiatives, Board reporting, Canadian and U.S. sub-advised client oversight, and product risk – among other compliance functions.
Tourism Compliance Officer - Code Enforcement Division City of Savannah GATourism Compliance Officer - Code Enforcement DivisionSavannah, GAWe offer an excellent benefits package to include health, dental and vision, defined contribution plan (457b), life insurance, wellness programs, vacation, sick leave, paid holidays, employee assistance program, home buyers program, tuition reimbursement and more! Minimum Qualifications Requires a High School diploma or GED, and some code enforcement or field investigative experience, or any equivalent combination of education, training, and experience.
Senior Compliance Officer Invesco LtdSenior Compliance OfficerAtlanta, GAThis position will have the opportunity to support a variety of account types, including 1940 Act mutual funds, separate accounts, UCITS funds, 81-102 Accounts, collective trusts, commodity pools and other pooled vehicles. Pursuant to Invesco's Workplace Policy, employees are expected to comply with the firm's most current workplace model, which as of October 1, 2025, includes spending at least four full days each week working in an Invesco office.
Securities Compliance Officer - AML & Elderly/Vulnerable Specialist Primerica IncSecurities Compliance Officer - AML & Elderly/Vulnerable SpecialistDuluth, GA$90,000–$95,000 / yearIn 2025, USA Today recognized Primerica as a Top Workplace USA for the fifth year in a row, and Newsweek named Primerica one of America's Greatest Workplaces for Diversity for the second consecutive year. In 2024, the Atlanta Journal-Constitution named Primerica as a Top Workplace for the eleventh consecutive year, and Forbes recognized Primerica as one of America's Best Employers for Women for the fifth year in a row.
Junior Compliance Officer - Southeast: Charlotte, Atlanta, Tampa, Miami LIS SolutionsJunior Compliance Officer - Southeast: Charlotte, Atlanta, Tampa, MiamiAtlanta, GAProgram Overview : LEGAL INTERPRETING SERVICES, INC. is seeking Junior Compliance Officers (JCOs) to support of the Department of Homeland Security, Immigration and Customs Enforcement, Homeland Security Investigations Worksite Enforcement Unit. Candidates must be able to work on-site, handle sensitive information appropriately, complete DHS/ICE training requirements, and obtain a favorable DHS/ICE personnel security determination before accessing law enforcement databases, government systems, facilities, or sensitive information.
Fiduciary Compliance Officer / Probate Court City of AthensFiduciary Compliance Officer / Probate CourtAthens, GADuties and responsibilities include, but are not limited to, maintain a docket of all fiduciary filings required by law to make returns each year and ensure fiduciary filings are made annually until discharged, review and assess fiduciary filings for compliance with Georgia law, working with fiduciaries to come into compliance, training new fiduciaries on the reporting required by Georgia law, managing special projects, and performing additional tasks as assigned. Bachelors degree in public administration, business administration or accounting with three years of fiduciary, cost accounting, accounting or related experience required; or any equivalent combination of education, training, and experience which provides the requisite knowledge, skills, and abilities for this position.
Local Trade Compliance Officer ABBLocal Trade Compliance OfficerGeorgiaRemoteCome and join ABB Installation Products, the number one manufacturer of electrification products in North America with a 125-year history of providing innovation and customer focused solutions for connecting and protecting electrical systems. 10+ years of strong experience in international trade and customs, supporting day-to-day import/export transactions, including documentation and compliance processes.
Commander of the Macon County Law Enforcement Training Center (Internal Posting) Richland Community CollegeCommander of the Macon County Law Enforcement Training Center (Internal Posting)Macon, GA$95,455.90–$128,607.86 / yearBachelor's degree in a multi-disciplined Criminal Justice field or other related field and at least three years of experience in an upper-level management position at a multipurpose training facility and at least five years of experience in a senior criminal justice administrator position required (Lieutenant, Captain, Colonel, Deputy Chief, Chief Deputy, Chief, Sheriff). Provide leadership, management, and strategic direction for all MCLETC programs, services, and activities; Serve as a liaison with RCC departments and external partners to ensure alignment on operational development, clearly communicating program objectives, requirements, and outcomes.
Code Compliance Officer DeKalb CountyCode Compliance OfficerDecatur, GA$21.39–$34.44 / hourProcesses a variety of documentation associated with department/division operations, within designated timeframes and per established procedures; receives and reviews various documentation, including citizen complaints, citations, and business licenses; reviews, completes, processes, forwards or retains as appropriate; prepares or completes various forms, reports, correspondence, and other documentation, including photographic evidence of violations, court summonses, and action reports; compiles data for further processing or for use in preparation of department reports; and maintains computerized and/or hardcopy records. Minimum Qualifications: Associate's degree in Construction Technology, Engineering, Architecture or a related field required; two years of customer service experience; or any equivalent combination of education, training, and experience which provides the requisite knowledge, skills, and abilities for this job.
Compliance Officer VeriFone IncCompliance OfficerAtlanta, GASupport the sanctions compliance framework across the Verifone Group - including maintenance of the Sanctions Policy, coordination with the AML/CFT function on screening program oversight, escalation of potential sanctions matches, and monitoring of regulatory developments across applicable regimes (OFAC, EU, OFSI, and UN).Advise senior leadership on sensitive escalations, protective measures for reporting persons, and officer- and board-level matters with appropriate discretion. Own the Anti-Bribery and Anti-Corruption (ABAC) program for the Verifone Group - including maintenance and periodic review of the ABAC Policy and related procedures, third-party due diligence oversight, gifts & hospitality register management, and delivery of targeted ABAC training to high-risk functions (Sales, Procurement, Government Affairs).
Code Compliance Officer Forsyth County GeorgiaCode Compliance OfficerCumming, GAConducts site visits and investigates for compliance with various regulations regarding the erection, maintenance and installation of signage in Forsyth County; identifies violations, deficiencies, or other areas of non-compliance; issues warnings, stop work orders, and/or citations as appropriate; performs follow-up site visits to determine whether properties have come into compliance. Maintains records of code enforcement activities; prepares quarterly work plans; maintains database records of complaints, or other work activities; Prepares or completes various forms, reports, correspondence, work plans, illegal dumping records, case files, warning notices, stop work orders and/or citations, or other documents.
Chief Compliance Officer (CCO) for Truist Investment Services, Inc. and Truist Advisory Services, Inc. Truist Financial CorpChief Compliance Officer (CCO) for Truist Investment Services, Inc. and Truist Advisory Services, Inc.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.
Junior Compliance Officer/Auditor SGI Global, LLCJunior Compliance Officer/AuditorAtlanta, GAAssist with drafting audit reports and associated administrative fine paperwork to support the issuance of Notices of Intent to Fine, Final Orders, Warning Notices and other related documentation for HSI audits related to the employment eligibility verification process. The role assists in reviewing employment eligibility documentation, conducting database research, and preparing audit-ready case files and reports that support administrative enforcement actions and related determinations.
Senior Safety and Compliance Officer University of GeorgiaSenior Safety and Compliance OfficerAthens, GA$73,000–$78,000 / yearOversight of all related chemical and laboratory safety programs, such as but not limited to, Laboratory Inspections, Support of the Research Safety Committee, CampusOptics Operations, Chemical Inventory, Lab Closings and Openings, Emergency Response, Maintenance of the Chemical Safety Manual, Website Information, development/updates of Safety Policy/Guidance Documents as well as serving on a variety of working groups involving: Environmental Safety Division, Facilities Management, Office of Emergency Preparedness, Office of University Architects, Office of Research Integrity, Campus Police and Athens Clarke County Fire and Life Safety. Lead coordinator of the On-Call Emergency Response Team known as PREHS, responsibility includes but not limited to on-call rotation scheduling, spill response training, spill response team member, hazard communications, and maintenance of the PREHS operations manual.
Document Control and Compliance Specialist TAD PGS, Inc.Document Control and Compliance SpecialistAtlanta, GACollaborate with both internal and external customers (i.e., CSRs, RAs, OEMs, freight forwarders, etc.) to obtain information associated with import/export compliance (e.g., supplier, COO, ECCN, HTS, Schedule B, COO, material composition/breakdown, etc.) . This role provides both administrative and document control support to three FAA Part 145 repair stations, servicing major airlines and the aftermarket parts sales businesses.
Senior Lead Compliance Auditor (Hybrid) - Internal Audit Washington University in St LouisSenior Lead Compliance Auditor (Hybrid) - Internal AuditForest Park, GeorgiaPerforms other duties as assigned, which may include but not limited to: special projects, fraud investigations, special requests, compliance training, department initiatives, or management consultation or assistance; Prepare activity and status reports or other required administrative reports; assist the Director with Audit Committee (Board) materials or other important management reports and presentations. Certified Fraud Examiner (CFE) - Association of Certified Fraud Examiners, Certified Internal Auditor (CIA) - The Institute of Internal Auditors (The IIA), Certified Public Accountant (CPA) - American Institute of Certified Public Accountants, Certified Public Accountant (CPA) - Missouri Division of Professional Registration.
Compliance Officer - Sponsored Programs & Research Valdosta State UniversityCompliance Officer - Sponsored Programs & ResearchValdosta, GAAdditionally, USG supports Freedom of Expression as stated in Board Policy 6.5 Freedom of Expression and Academic Freedom found on-line at https://www.usg.edu/policymanual/section6/C2653 . The ASFSR is published annually by October 1 and is available online at: https://www.valdosta.edu/administration/finance-admin/police/documents/2025-asfr-final-draft-aa.docx.pdf .
Director of Compliance Vestis CorpDirector of ComplianceGAVestis provides clean and safe uniform services and workplace supplies to a broad range of North American customers from Fortune 500 companies to locally owned small businesses across a broad set of end markets. Responsibilities/Essential Functions: Support the Chief Compliance Officer in managing and continuously improving Vestis's ethics and compliance program across key risk areas, including business conduct, anti-corruption, hotline reporting, investigations, regulatory compliance, training, monitoring, and governance.
Senior Group Manager, Regional Safety Compliance (HMGMA) Hyundai Motor AmericaSenior Group Manager, Regional Safety Compliance (HMGMA)Savannah, GA$137,025–$203,000 / yearThe Senior Group Manager partners closely with manufacturing leadership, affiliates, and suppliers to align EHS programs and initiatives with the CMO's manufacturing strategy and HMNA's core values. This role supports and advances the HMNA Chief Manufacturing Officer's (CMO) safety vision by ensuring regulatory compliance, driving environmental performance, and promoting a strong culture of accountability and continuous improvement.
Sr. Compliance Officer - Home Lending Originations KeyCorpSr. Compliance Officer - Home Lending OriginationsGA$96,000–$181,000 / yearThe Senior Compliance Officer provides oversight of compliance-related activities within Home Lending Originations, including delivering specialized guidance on current and emerging regulatory requirements impacting mortgage lending (e.g., RESPA, TILA, ECOA requirements, and state-specific regulations). Partner with other members of the second line of defense and the Home Lending line of business to identify risks, develop and execute assessments, provide guidance on control and testing design and execution, and advise on and monitor findings and associated remediation activities.
Global Trade Compliance Specialist KSB SE & Co KGaAGlobal Trade Compliance SpecialistGrovetown, GAOur reliable, high-efficiency products are used in applications wherever fluids need to be transported or shut off, covering everything from building services,industry and water transport to waste water treatment, power plant processes and mining. This position partners cross-functionally with Engineering, Purchasing, Logistics, and Operations, as well as external partners such as customs brokers and freight forwarders, to ensure global trade activities are executed accurately, efficiently, and in compliance with regulatory requirements and company policies.
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.
Sr Counsel- Corporate Compliance CRB Group, Inc.Sr Counsel- Corporate ComplianceAtlanta, GAIt also develops and maintains compliance policies, procedures, controls, and training; monitors obligations across business units; partners on investigations/audits and risk assessments; and helps streamline contracting and internal policy adherence-enabling efficient strategic execution, reducing enterprise risk, and supporting scalable growth. The role maintains audit- and diligence-ready corporate records and governance documentation (minutes, resolutions, written consents, bylaws/charters), prepares executive and board materials, and coordinates information flow with internal stakeholders.
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.
Regulatory Compliance Engineer Sovos ComplianceRegulatory Compliance EngineerAtlanta, GAOur purpose-built systems provide the tools you need to thrive in a world where governments demand increased visibility, faster reporting and greater control over business processes. Support our participation in certified compliance programs such as Streamlined Sales Tax, ensuring the completeness and accuracy of the data we supply to state governments.
Business Integrity Trade Compliance Senior Manager PricewaterhouseCoopers LLPBusiness Integrity Trade Compliance Senior ManagerAtlanta, GA$91,000–$321,500 / yearWithin our Internal Firm Services practice, you will confirm adherence to regulatory requirements and mitigate risks for clients, offering guidance on compliance strategies and helping clients navigate complex regulatory landscapes. PwC does not intend to hire experienced or entry level job seekers who will need, now or in the future, PwC sponsorship through the H-1B lottery, except as set forth within the following policy: https://pwc.to/H-1B-Lottery-Policy .
Manager, Insurance Regulatory Compliance InhabitIQ IncManager, Insurance Regulatory ComplianceAlpharetta, GAAs a people manager, this role owns key compliance programs (e.g., complaints management, compliance testing and monitoring), educates business partners on regulatory risk, and coaches and mentors junior-level compliance team members. This role is responsible for supporting the Director, Insurance Regulatory Compliance with regulatory operations that commonly sit within an MGA environment, including regulatory inquiries and examinations, consumer complaints, partner compliance oversight, and coordination with carrier partners on filings and regulatory obligations.
Regulatory Senior Compliance Analyst Allianz SERegulatory Senior Compliance AnalystAlpharetta, GA$78,000–$110,000 / yearWhat You'll Bring to the Role: A minimum of 5 years of experience working in regulatory and government relations for a Property & Casualty (P&C) Insurance Company, including knowledge of P&C products; Experience reviewing and analyzing state statutes and regulations; Experience performing rate, rule and form analysis; Experience working with state regulators, rating bureaus and Departments of Insurance; Strong understanding of regulatory processes and procedures including a background working in a compliance environment; Strong knowledge of SERFF, I-File and the rate, rule and form filing process; Ability to analyze legislative and regulatory requirements, determine their impact and provide an action plan to be implemented; Ability to build and foster relationships across the organization with various levels of stakeholders; Excellent verbal and written communication skills; Ability to multi-task; A willingness to learn and explore how AI can enhance your role and the broader organization is expected. The North America Product Governance Team supports and guides our business partners in product governance with US regulatory requirements in conjunction with Legal NA, including preparation of rates, rules, and policy forms for filing and negotiation of approvals.
Associate Director of Governance, Compliance, and Organizational Standards - Campus Life Emory Healthcare/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. To request this document in an alternate format or to seek a reasonable accommodation, please contact the Department of Accessibility Services ataccessibility@emory.eduor call 404-727-9877 (Voice) | 404-712-2049 (TDD).
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”).
Director, Electrical Licensing & Compliance ABM IndustriesDirector, Electrical Licensing & ComplianceCumming, GA$121,800–$180,000 / yearThis role ensures that the organization maintains all required contractor and trade licenses, supports safe and compliant operations, and minimizes business risk by aligning field execution, project delivery, and corporate practices with federal, state, and local regulations. The Director will serve as the central authority on licensing compliance, enabling market expansion, supporting project execution, and maintaining strong relationships with regulatory bodies and authorities having jurisdiction.
Compliance Counsel Finastra TechnologyCompliance CounselAtlanta, GeorgiaYour work will directly influence how compliant functionality is delivered to market, supporting product managers, engineers, and leadership primarily within Finastra’s Lending Business Unit, and across the organization as needed. Well‑being: Access confidential one‑to‑one support through our Employee Assistance Program, connect with our network of Wellbeing Champions and Gather Groups, and take part in monthly events and initiatives designed to help you thrive—inside and outside of work.
Global Trade Compliance Specialist KSBGlobal Trade Compliance SpecialistGrovetown, GeorgiaOur reliable, high-efficiency products are used in applications wherever fluids need to be transported or shut off, covering everything from building services,industry and water transport to waste water treatment, power plant processes and mining. This position partners cross-functionally with Engineering, Purchasing, Logistics, and Operations, as well as external partners such as customs brokers and freight forwarders, to ensure global trade activities are executed accurately, efficiently, and in compliance with regulatory requirements and company policies.
Principal Customer Solutions Architect, Ads Regulatory Compliance Microsoft CorpPrincipal Customer Solutions Architect, Ads Regulatory ComplianceAtlanta, GA$142,800–$274,800 / yearAs the Principal Customer Solutions Architect, Ads Regulatory Compliance, you will operate at the intersection of product, engineering, policy, legal, operations, and business strategy to translate emerging regulatory requirements into scalable frameworks, governance models, and solution architectures. There is a different range applicable to specific work locations, within the San Francisco Bay area and New York City metropolitan area, and the base pay range for this role in those locations is USD $188,000 - $304,200 per year.
Director - Gift Compliance Georgia Institute of TechnologyDirector - Gift ComplianceAtlanta, GA$87,672–$119,234 / yearOver the next decade, Georgia Tech will become an example of inclusive innovation, a leading technological research university of unmatched scale, relentlessly committed to serving the public good; breaking new ground in addressing the biggest local, national, and global challenges and opportunities of our time; making technology broadly accessible; and developing exceptional, principled leaders from all backgrounds ready to produce novel ideas and create solutions with real human impact. ), Georgia Tech will continue to serve as an example of innovation and a leading technological research university of unmatched scale, relentlessly committed to serving the public good; breaking new ground in addressing the biggest local, national, and global challenges and opportunities of our time; making technology broadly accessible; and developing exceptional, principled leaders ready to produce novel ideas and create solutions with real human impact.
Senior Manager, External Financial Reporting & SEC Compliance Innovation ConsultingSenior Manager, External Financial Reporting & SEC ComplianceAtlanta, GeorgiaThis is a highly visible leadership role within the Corporate Controller’s organization, overseeing External Financial Reporting (including SEC reporting and SOX compliance) and Internal Financial Reporting for complex, regulated operations. Experience overseeing accounting for complex areas: derivatives, pension and OPEB, stock compensation, lease accounting, and regulatory accounting mechanisms.
Cybersecurity Compliance Project Manager Hitachi LtdCybersecurity Compliance Project ManagerAtlanta, GARemoteThe role will also support the program's evolution toward more efficient, technology-enabled ways of working, including workflow automation, data-driven reporting, AI-enabled capabilities, and digital tools that improve regulatory monitoring, evidence management, control traceability, and audit readiness. Translate U.S. and North American cybersecurity regulatory requirements-including Covered Information Protection Plans (CIPP), DFARS, FAR-based cybersecurity clauses, NIST SP 800‑171/172, CMMC 2.0, and NERC CIP-into practical processes across the organization.
Compliance Counsel Finastra LtdCompliance CounselAtlanta, GAYour work will directly influence how compliant functionality is delivered to market, supporting product managers, engineers, and leadership primarily within Finastras Lending Business Unit, and across the organization as needed. You will join Finastras Product Legal teaman internal group of attorneys and compliance professionals responsible for anticipating, interpreting, and operationalizing regulatory change across Finastra software products.
Lien & Compliance Manager ServproLien & Compliance ManagerEvans, GeorgiaWe’re seeking self-motivated, proactive, responsible, and service-oriented teammates to join us in our mission of helping customers in their greatest moments of need by repairing and restoring homes and businesses with an industry-leading level of service. The Manager ensures adherence to state statutes, oversees complex or high‑value lien cases, and drives continuous improvement in documentation, collections, and legal compliance.
NewSenior IT Governance, Risk, and Compliance Analyst Research Cybersecurity Emory UniversitySenior IT Governance, Risk, and Compliance Analyst Research CybersecurityAtlanta, GAMINIMUM QUALIFICATIONS: A bachelor''s degree and six years of related IT experience including demonstrated expertise in multiple information security domains, project management skills, OR an equivalent combination of education, training and experience. JOB DESCRIPTION: The Senior IT GRC (Governance, Risk, and Compliance) Analyst oversees technical design, implementation, maintenance, and responsibilities for multiple information security disciplines such as security policy, awareness and education, risk management, and regulatory compliance.
NewSenior IT Governance, Risk, and Compliance Analyst - Research Cybersecurity Emory UniversitySenior IT Governance, Risk, and Compliance Analyst - Research CybersecurityAtlanta, GeorgiaFull timeMINIMUM QUALIFICATIONS: A bachelor's degree and six years of related IT experience including demonstrated expertise in multiple information security domains, project management skills, OR an equivalent combination of education, training and experience. Description: JOB DESCRIPTION: The Senior IT GRC (Governance, Risk, and Compliance) Analyst oversees technical design, implementation, maintenance, and responsibilities for multiple information security disciplines such as security policy, awareness and education, risk management, and regulatory compliance.
Airport Operations Representative I- Regulatory Compliance City of AtlantaAirport Operations Representative I- Regulatory ComplianceAtlanta, GA$47,474–$57,636 / yearThe COA is prepared to modify or adjust the job application process or the job or work environment to make reasonable accommodations to the known physical or mental limitations of the applicant or employee to enable the applicant or employee to be considered for the position he or she desires, to perform the essential functions of the position in question, or to enjoy equal benefits and privileges of employment as are enjoyed by other similarly situated employees without disabilities, unless the accommodation will impose an undue hardship. This role monitors, tracks, and coordinates aircraft and passenger movement, enforces airport security regulations, and ensures compliance with Federal, State, and Local regulations.
Audit Project Manager - Regulatory Compliance U.S. BancorpAudit Project Manager - Regulatory ComplianceAtlanta, GA$105,400–$124,000 / yearIncludes identifying and analyzing business processes, key risks and critical controls; interviewing auditees; determining audit scope; evaluating control design adequacy; and developing audit programs which provide sufficient guidance for testing control performance effectiveness and making evaluations which effectively achieve audit objectives. As the lead auditor, the APM helps influence engagement scope with support from primary audit manager, performs internal audit procedures, prepares audit reports, monitors progress of audit engagements against plan and schedule, and assesses work performed by the audit engagement team to ensure engagements are completed in conformance with internal audit policies and procedures.
Senior Manager, HR Compliance SaiaSenior Manager, HR ComplianceJohns Creek, GeorgiaLeads and supports HR compliance audits, reviews, and investigations, including partnering with Legal and HR leadership to address findings, manage risk, and ensure appropriate resolution and documentation. Leads the development, implementation, and governance of enterprise HR compliance programs to ensure adherence to applicable federal, state, and local employment laws across a complex, multi-state workforce.
Manager Trade Compliance TCRS4740 Trade Compliance Recruiting SolutionsManager Trade Compliance TCRS4740Alpharetta, GAThe Trade Compliance Manager is responsible for the global compliance function with an emphasis on import/export compliance, trade policy, Foreign Trade Zone (FTZ) Operations while ensuring compliance with all applicable international trade regulations (CBP, EAR, ITAR, OFAC). · Monitor CBP, BIS, DDTC, and OFAC regulatory updates and implement required process and control changes.