NewHR Compliance Analyst (Leave/Accommodations Experience Required) CoreCivic IncHR Compliance Analyst (Leave/Accommodations Experience Required)Brentwood, TNAssists with facility pre-audit preparation for OFCCP compliance reviews, gathers data as needed for OFCCP desk audits, assists facilities with any required follow up or corrective action, and prepares any data needed for follow up reporting to OFCCP. Provides guidance on pre-employment screening processes including disclosures, authorizations, adverse action procedures, background adjudication, individualized assessment of criminal history, and proper use of consumer reports.
Director of Policy, Compliance, and Innovation Neighborhood HealthDirector of Policy, Compliance, and InnovationNashville, TennesseeAssemble, upload, and submit all required NCQA submissions to the NCQA PMCH platform and manage all components of the NCQA process to maintain PCMH recognition for all locations; Assemble, upload, and submit all required submissions to The Joint Commission and manage all components of the TJC process to maintain ambulatory care and PMCH accreditations; Assemble and upload the following submissions to HRSA’s Electronic Handbook (EHB) so the CEO can submit prior to the deadline: FTCA annual re-application; Progress reports (except financial reports) on grants administered by HRSA; Ensure the organization drafts and presents to the Board: Annual risk management report, which includes completed risk management activities, a compilation of near misses and adverse events, status of the health center’s performance relative to established risk management goals, and proposed risk management activities that relate and/or respond to identified areas of high organizational risk (normally in May); Updated Hazard Vulnerability Analysis (normally in May). Design, test, and implement business processes to improve organizational performance and maximize revenue; Supervise a limited number of PCMH staff, specifically regarding patient outreach and engagement activities; Generate patient outreach lists using Azara and other tools in a HIPAA-compliant manner; Monitor performance and regularly brief the CEO; Serve as PCMH liaison with each MCO and serve as organizational representative at monthly meetings to share program performance updates; Attend regional MCO collaborative meetings throughout the year; Manage social determinants of health (SDoH) programs with TennCare managed care organization (MCO) in collaboration with the CEO .
Cyber Governance, Risk, and Compliance Manager Regions Financial CorpCyber Governance, Risk, and Compliance ManagerNashville, TNJob Description: At Regions, the Cyber Security Group Manager is responsible for leading a diverse team of managers, engineers and analysts charged with the daily operations of enforcing, monitoring, and managing cyber security controls to protect the assets of the bank, customers, and associates. This role monitors the domains of security controls including, but not limited to, malware defense, network security, Internet security, security analytics, threat intelligence and defense, cybercrime, data protection, vulnerability management, and customer authentication.
Associate Director of Academic Compliance Herzing UniversityAssociate Director of Academic ComplianceClarksville, TN$81,713–$110,553 / yearAssess for potential and existing areas of vulnerability and risk as it relates to accreditation and regulatory compliance and communicate identified concerns with AVP of Academic Compliance for intervention. Coordinate with location and program leadership to ensure advisory board meetings are being conducted and minutes, action items, and communications are documented appropriately.
Litigation & Compliance Counsel Eastman Chemical CoLitigation & Compliance CounselKingsport, TNManage a broad range of litigation and pre litigation matters (commercial contract disputes, personal injury, class action, IP, asbestos/toxic tort, antitrust, and related areas), including drafting pleadings, motions, briefs, and other court filings. The company's innovation-driven growth model takes advantage of world-class technology platforms, deep customer engagement, and differentiated application development to grow its leading positions in attractive end markets such as transportation, building and construction, and consumables.
SLG First Line Compliance Lead FB Financial CorpSLG First Line Compliance LeadKnoxville, TNEssential Duties and Responsibilities: Advises the business unit on critical and complex regulatory matters to enhance regulatory compliance within all processes, procedures and practices; Provides updates to the First Line Compliance Manager regarding status of assigned areas of responsibility including immediate communication of any issues or challenges. Summary: The First Line Compliance (FLC) Lead is responsible for partnering with multiple areas of FirstBank, including Corporate Compliance and Risk Management, in addition to other First Line Compliance Specialists and teams, in order to identify and mitigate regulatory compliance risk.
Medicare Compliance Officer: Medicare Part C & D National HealthCare CorpMedicare Compliance Officer: Medicare Part C & DMurfreesboro, TNPerform routine monitoring of federal and state issued documents to ensure timely communication to designated NHC parties, revision to internal work procedures, and/or implementation of new requirements with the assigned Medicare Parts C & D service lines. Regularly review operational & clinical metric reports and participate in regularly scheduled meetings with operations and related parties for oversight of the Medicare Parts C & D lines of service.
Compliance Trainer Erlanger HealthCompliance TrainerChattanooga, TNExperience: Required: Seven or more years of compliance, regulatory or legal experience that includes producing and providing compliance education across all levels of a healthcare organization on topics such as Fraud, Waste, and Abuse, teaching physician documentation guidelines, research compliance, healthcare privacy, hospital and physician coding, billing and documentation, False Claims Act, Anti-Kickback Statute, conflict of interest, human trafficking, and other compliance related topics. Development and implementation of EH new education programs and development of face-to-face training programs for the EH workforce; assist in the development and execution of the Annual Regulatory Compliance work plan; supervise the planning and organization of the annual Compliance Week activities.
Advisor, BSA/AML Compliance Synovus Financial CorpAdvisor, BSA/AML ComplianceTNDesign and execute a risk assessment methodology that evaluates risks across the firm's clients /geographies/products/delivery channels and integrates internal AML/CFT metrics and external inputs such as FinCEN National AML/CFT Priorities and other emerging financial crimes risks. This role operates with a high degree of independence and judgment, providing expertise, guidance, and analytical support across one or more core areas of the program, including KYC, suspicious activity reporting, sanctions compliance, business advisory, analytics/technology, quality assurance, and governance.
Specialist Manager, Risk and Compliance Services (Personal Consultation) Deloitte Touche Tohmatsu LtdSpecialist Manager, Risk and Compliance Services (Personal Consultation)Nashville, TN$93,000–$171,300 / yearInterpreting and applying American Institute of Certified Public Accountants (AICPA), Securities and Exchange Commission (SEC), and Public Company Accounting Oversight Board (PCAOB) independence rules, as well as Deloitte US Firms independence policies, while identifying process improvement opportunities with team members. The Personal Consultation team within Independence & Conflicts Network (ICN) performs a critical consultation and risk-management function for the Deloitte US Firms, protecting Deloitte from conflicts of interest and keeping the Deloitte US Firms independent, objective, and impartial, in fact and appearance.
Senior Auditor I/II Compliance Trustmark CorpSenior Auditor I/II ComplianceMemphis, TNThe Senior Auditor Compliance is responsible for completion of high-quality walkthrough and testing throughout Trustmark, identifying, and understanding risks and controls associated with various business functions, executing testing to determine the design and effectiveness of controls in place, and drafting findings and reporting deliverables. The Compliance Audit team is responsible for providing independent and objective perspective on Trustmark's processes and risks through assessment and testing of the adequacy and effectiveness of risk management policies and practices, and adherence to applicable laws and regulations.
Sr Director, Legal (Securities & Corp Compliance) Tractor SupplySr Director, Legal (Securities & Corp Compliance)Brentwood, TNDemonstrated ability to (i) identify and raise salient issues, (ii) draft language and propose various options that consider relevant strategic or business goals, and (iii) communicate issues, risks, and solutions clearly and concisely to lawyers and non-lawyers alike. Serve as a key advisor to executive leadership and the Board of Directors (including Audit and Governance Committees) on securities law matters, corporate governance trends, and emerging regulatory developments.
Import/Export Compliance Manager MAT Holdings IncImport/Export Compliance ManagerJackson, TNResponsible for compliance with U.S. Customs & Border Protection (CBP) laws and regulations to ensure the companys overall compliance with all U.S. Government Regulatory agencies related to the companys import services. Regulatory Compliance: Ensure compliance with all applicable import/export laws, with a primary focus on the U.S. Customs regulations, Monitor regulatory changes and assess their impact on business operations.
Ao/Compliance Associate AllianceBernstein Holding LPAo/Compliance AssociateNashville, TNStay current on regulatory expectations, industry developments, and emerging conduct risks relating to trade surveillance, electronic and voice communications surveillance, legal preclearance, market abuse, insider trading, conflicts of interest, and other Compliance monitoring, surveillance, and control functions. The Associate will help review and resolve surveillance alerts, administer monitoring workflows, support access and population management, and partner with Legal & Compliance colleagues and business stakeholders to identify, escalate, and resolve potential compliance issues.
AO/Compliance Associate AllianceBernstein Holding LPAO/Compliance AssociateNashville, TNStay current on regulatory expectations, industry developments, and emerging conduct risks relating to trade surveillance, electronic and voice communications surveillance, legal preclearance, market abuse, insider trading, conflicts of interest, and other Compliance monitoring, surveillance, and control functions. The Associate will help review and resolve surveillance alerts, administer monitoring workflows, support access and population management, and partner with Legal & Compliance colleagues and business stakeholders to identify, escalate, and resolve potential compliance issues.
Lead, CSD Government Compliance L3Harris Technologies IncLead, CSD Government ComplianceNashville, TN$100,500–$186,500 / yearWith customers' mission-critical needs always in mind, our employees deliver end-to-end technology solutions connecting the space, air, land, sea and cyber domains in the interest of national security. In compliance with pay transparency requirements, the salary range for this role in California, Massachusetts, New Jersey, Washington, and the Greater D.C, Denver, or NYC areas is $100,500 - $186,500.
Director Trade Compliance LKQDirector Trade ComplianceNashville, TennesseeWork closely with LKQ Supply Chain in areas of inbound and outbound freight and billings associated to those businesses, and collaborate in pursuing cost reduction or other initiatives in those areas that involve international trade. Manage LKQ’s relationships with customs brokers and freight forwarders, including the negotiation of rate structures and service agreements; periodically monitor these business partners for performance and adherence to agreed KPIs.
Legal & Compliance Coordinator Marsh & McLennan Companies IncLegal & Compliance CoordinatorNashville, TNLeverage Microsoft Office Suite (Outlook, Word, Excel, PowerPoint) to create correspondence, trackers, reports, and presentations; use Smartsheet to manage workflows, task assignments, and deadline tracking. We aim to attract and retain the best people and embrace diversity of age background, disability, ethnic origin, family duties, gender orientation or expression, marital status, nationality, parental status, personal or social status, political affiliation, race, religion and beliefs, sex/gender, sexual orientation or expression, skin color, veteran status (including protected veterans), or any other characteristic protected by applicable law.
Compliance Analyst AmeriLifeCompliance AnalystNashville, TennesseeThis position is responsible for monitoring CMS regulatory updates, supporting audit readiness, conducting compliance reviews, and helping operational teams interpret and implement Medicare guidance. The analyst serves as a key contributor to the organization’s compliance program by maintaining documentation, identifying risks, and strengthening oversight efforts.
Compliance Investigator Acadia Healthcare Co IncCompliance InvestigatorFranklin, TNYou will partner with leaders across Compliance, Legal, Human Resources, Clinical Operations, and Quality to evaluate concerns, identify risks, uncover root causes, and help drive meaningful corrective actions that strengthen compliance and protect patients. In this highly visible role, you will conduct and lead investigations involving regulatory compliance, ethics, patient safety, privacy, and healthcare operations across one of the nation''s leading behavioral healthcare organizations.