NewDirector of Risk and Compliance Goodwill of Orange CountyDirector of Risk and ComplianceSanta Ana, CAInternal Controls & Audit Readiness- Establishes and evaluates internal controls designed to safeguard organizational assets, promote accountability, reduce fraud and misuse, and ensure consistent compliance with policies and procedures. Change Management & Continuous Improvement- Leads organizational improvements resulting from regulatory changes, audits, investigations, risk assessments, or operational findings.
Staff Regulatory Compliance Specialist, Trust & Safety Match GroupStaff Regulatory Compliance Specialist, Trust & SafetyLos Angeles, CA$175,000–$185,000 / yearYou should be energized by tough product trade-offs, grounded in the realities of enforcement at scale, and thoughtful about how to design for safety in a proportionate way, user-respecting, and aligned with regulatory requirements. This role sits at the intersection of product, policy, and compliance-partnering across engineering, legal, and operations to translate regulatory obligations into thoughtful, user-centered safety product requirements.
Chief Legal and Compliance Officer St. Jude Neighborhood Health CentersChief Legal and Compliance OfficerOrange, CA$149,008–$209,110 / yearServe as a trusted advisor to the CEO and Board of Directors providing advice on legal issues affecting the operations of the health center, including but not limited to, governance, finance & tax, labor & employment, advocacy, HIPAA & privacy, FTCA, licensure, contracts. Our health centers use a team-based model of care that includes primary care, family medicine, obstetrics, women's health, oral and vision care, preventative and educational health, mental health, patient advocacy, case management, specialty care, and community health.
Program Manager, Accreditation And Regulatory Compliance (White Memorial) Adventist HealthProgram Manager, Accreditation And Regulatory Compliance (White Memorial)Los Angeles, CASupports the accreditation preparation process for the organization by managing logistics, conducting mock surveys and maintaining organization's communication regarding changes and updates for regulatory compliance. Licenses/Certifications: Certified Professional in Healthcare Quality (CPHQ) or Healthcare Accreditation Certificated Professional (HACP) certification or Lean certification: Required within two years of hire.
Consumer Regulatory Compliance Senior Consultant Baker Tilly Advisory Group, LPConsumer Regulatory Compliance Senior ConsultantIrvine, CaliforniaBaker Tilly Advisory Group, LP and Baker Tilly US, LLP, trading as Baker Tilly, are independent members of Baker Tilly International, a worldwide network of independent accounting and business advisory firms in 141 territories, with 43,000 professionals and a combined worldwide revenue of $5.2 billion. Baker Tilly is a leading advisory, tax and assurance firm, providing clients with a genuine coast-to-coast and global advantage in major regions of the U.S. and in many of the world's leading financial centers - New York, London, San Francisco, Los Angeles, Chicago and Boston.
Bookkeeper - Law Office CbBookkeeper - Law OfficeLos Angeles, California$75,000–$90,000 / yearIn this role, you will work closely with the Accounting department and managing partner to maintain accurate financial records and ensure the company’s compliance with all legal requirements. Your responsibilities will include recording and verifying transactions, bringing the books to the trial balance stage, and completing tax forms.
Citi Wealth At Work - Law Firm Group - Associate Banker - Avp/Vp - West Coast Citigroup Inc.Citi Wealth At Work - Law Firm Group - Associate Banker - Avp/Vp - West CoastLos Angeles, CA$88,400–$182,000 / yearAppropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency. Evaluates moderately complex and variable issues with substantial potential impact, where development of an approach/taking of an action involves weighing various alternatives and balancing potentially conflicting situations using multiple sources of information.
Trade Compliance Director- Aerospace & Electronics Segment Teledyne Technologies IncTrade Compliance Director- Aerospace & Electronics SegmentTorrance, CA$136,700–$182,300 / yearThese markets include aerospace and defense, factory automation, air and water quality environmental monitoring, electronics design and development, oceanographic research, deepwater oil and gas exploration and production, medical imaging and pharmaceutical research. Job Summary: The Director, International Trade Compliance (the "Director"), Aerospace & Defense Electronics and Engineered Systems Segments of Teledyne Technologies Incorporated ("Teledyne") oversees the trade compliance function for a large and important group of businesses within Teledyne.
Compliance Associate Michael Page InternationalCompliance AssociateLos Angeles, California$103,992–$124,790 / yearTemporaryOur client is a global asset servicing and compliance solutions provider that supports investment managers, financial institutions, and corporations with fund administration, regulatory compliance, governance, and corporate services. A successful Compliance Associate should have: Experience within investment management, asset management, hedge funds, private equity, alternative investments, or a registered investment adviser (RIA) environment.
Staff Regulatory Compliance Specialist, Trust & Safety Match Group IncStaff Regulatory Compliance Specialist, Trust & SafetyLos Angeles, CAYou should be energized by tough product trade-offs, grounded in the realities of enforcement at scale, and thoughtful about how to design for safety in a proportionate way, user-respecting, and aligned with regulatory requirements. This role sits at the intersection of product, policy, and compliance-partnering across engineering, legal, and operations to translate regulatory obligations into thoughtful, user-centered safety product requirements.
NewBilingual Korean/English Senior Regulatory Affairs Manager - Cosmetics, OTC & Supplements (FDA Compliance Macpower Digital Assets Edge Private LimitedBilingual Korean/English Senior Regulatory Affairs Manager - Cosmetics, OTC & Supplements (FDA ComplianceLos Angeles, CA$90,000–$140,000 / yearGuided by the core values of Beautiful, Healthy, and Refreshing , they innovate beyond traditional cosmetics and household products, delivering creative solutions tailored to evolving consumer needs. As the Senior Regulatory Affairs Manager , you will ensure regulatory compliance for cosmetic, OTC, dietary supplement, and medical device products in North America—from concept to market launch.
GRC Regulatory Compliance Senior Analyst Kura Sushi USA IncGRC Regulatory Compliance Senior AnalystIrvine, CAIn addition, the GRC Regulatory Compliance Senior Analyst will partner with/provide guidance to the GRC Senior Security Analyst and the Head of Information Technology, when applicable, in designing/implementing information services (IT and security) solution components used throughout Kura Sushi's environment as well as liaising with the Internal Audit team for in-scope SOX systems. Provides guidance to the Security Senior Analyst for building the organization's cybersecurity strategy to ensure Kura Security team is proactively identifying/addressing relevant security gaps, compliant with internal policies and external regulatory requirements, and improving Kura's overall security posture and program.
Lead Fiduciary Compliance Specialist City National BankLead Fiduciary Compliance SpecialistLos Angeles, CARemote$175,000–$225,000 / yearThe Lead Bank Fiduciary Compliance Specialist supports the execution, oversight, and continuous improvement of compliance programs within Wealth Management with specific focus on OCC 12 CFR 9 Fiduciary Activities and state fiduciary regulations including Delaware. Support the execution and ongoing enhancement of Wealth Management compliance programs, ensuring alignment with regulatory requirements and internal policies with specific focus on OCC 12 CFR 9 fiduciary compliance program requirements.
Director of Compliance Vestis CorpDirector of ComplianceCalifornia, CAVestis 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.
Compliance Investigations Senior Advisor Southern California EdisonCompliance Investigations Senior AdvisorRosemead, CAIn this job, you'll lead the Company's most complex, technical, and cross-organizational internal compliance investigations into potential noncompliance events involving CPUC, FERC, NERC, environmental, privacy, and other regulatory requirements. + Experience managing complex projects or programs across cross-functional business areas, including T&D, IT, Customer Service, Operational Services, Generation, HR, Ethics & Compliance, and Law.
Business Unit Compliance Specialist II, Consumer Loans SchoolsFirst Federal Credit UnionBusiness Unit Compliance Specialist II, Consumer LoansTustin, CaliforniaSchoolsFirst FCU is committed to Diverse, Equitable, and Inclusive Hiring At SchoolsFirst FCU we are dedicated to building and growing a diverse, inclusive, and authentic Dream Team, so if you’re excited about a position or wanting to make a career change but your past experience doesn’t align perfectly with every qualification in the job description, we encourage you to apply anyway. Conducts legal and regulatory research related to the business unit to support management and respond to inquiries received from Credit Union Management, teammembers, and government agencies.
Business Unit Compliance Specialist II, Consumer Loans Schools FinancialBusiness Unit Compliance Specialist II, Consumer LoansTustin, CA$37.70–$56.55 / hourAt SchoolsFirst FCU we are dedicated to building and growing a diverse, inclusive, and authentic Dream Team, so if you're excited about a position or wanting to make a career change but your past experience doesn't align perfectly with every qualification in the job description, we encourage you to apply anyway. Conducts legal and regulatory research related to the business unit to support management and respond to inquiries received from Credit Union Management, teammembers, and government agencies.
Corporate Paralegal and Compliance Specialist Griswold Industries CoCorporate Paralegal and Compliance SpecialistCosta Mesa, CALength of time performing these physical requirements may vary from day to day and task to task; Requires grasping, writing, sitting, standing, walking, repetitive motions, pulling, pushing, listening, hearing ability, and visual acuity; Ability to operate office equipment such as computers, printers, filing cabinets, and other office equipment as applicable; Ability to occasionally lift and/or carry up to 15 lbs. Physical Requirements: Most work tasks are performed indoors where temperature is moderate and controlled by office environment systems; Ability to work (sit and/or stand) at a desk for the majority of the work day; walking and/or standing may be required for the remainder of the work day.
Senior Regulatory Compliance Manager Circle Internet Financial LLCSenior Regulatory Compliance ManagerLos Angeles, CARemote$172,500–$222,500 / yearWhat you'll be responsible for: Circle is looking for a Senior Manager to join the Regulatory Assurance team who will help to create a central global function focused on developing a best in class compliance management system, supporting all regional and core compliance team functions. Circle's platform includes the world's largest regulated stablecoin network anchored by USDC, Circle Payments Network for global money movement, and Arc, an enterprise-grade blockchain designed to become the Economic OS for the internet.
Compliance Attorney - Remote YO AI LabsCompliance Attorney - RemoteLos Angeles, CARemoteIn this role, you will help improve next-generation AI systems by reviewing, analyzing, and refining AI-generated legal content related to U.S. compliance and regulatory matters. We are seeking experienced Compliance Attorneys to contribute their legal expertise to an innovative project at the intersection of law and emerging technology .