Lead Director - Business Process Risk & Controls, SOX Compliance Hub CVS Health CorpLead Director - Business Process Risk & Controls, SOX Compliance HubCumberland, RI$100,000–$231,540 / yearYou'll work closely with senior leaders to ensure controls are consistent, effective, and scalable, while helping modernize and strengthen the overall control environment. Our teams reflect the customers, patients, members and communities we serve and we are committed to fostering a workplace where every colleague feels valued and that they belong.
Data, AI and Emerging Technology Risk Principal Analyst Citizens Financial Group IncData, AI and Emerging Technology Risk Principal AnalystRIThis senior individual contributor position operates with significant autonomy, working across technology and business teams to shape risk practices, advance control effectiveness, and ensure alignment with Cybersecurity Risk Institute (CRI) Profile, NIST Cybersecurity Framework, NIST 800-53, and other applicable frameworks. Lead the proactive identification, assessment, and monitoring of technology and cybersecurity risks across systems, applications, infrastructure, and services, applying industry‑recognized frameworks such as CRI, NIST CSF and NIST 800‑53.
Senior Technology Risk Analyst - Monitoring and Testing Citizens Financial Group IncSenior Technology Risk Analyst - Monitoring and TestingRIThe Senior Analyst applies deep knowledge of frameworks such as Cybersecurity Risk Institute (CRI) Profile, NIST 800-53, and NIST Cybersecurity Framework to assess risk and drive meaningful improvements in the bank's security and technology risk posture. The Enterprise Technology & Security (ETS) Risk Senior Analyst leads the identification, assessment, and mitigation of technology-related risks, ensuring the organization's risk management practices are robust and effective.
Senior Director Cybersecurity Operations and Risk United Natural Foods IncSenior Director Cybersecurity Operations and RiskProvidence, RIJob Overview: The Senior Director of Security Operations and Risk leads the defensive security strategy and operational execution responsible for strategic oversight, operational excellence, and continuous maturity of the security operations center (SOC) Vulnerability Management (VM), and Governance, Risk, and Compliance (GRC). Strategic Vendor & MSSP Management: Proficient in managing Managed Security Service Providers (MSSPs) and large-scale SaaS vendors to ensure alignment with strategic KPIs.
Manager Import and Export Compliance Taco Family of CompaniesManager Import and Export ComplianceCranston, Rhode IslandThe Manager will act as a subject matter expert on U.S. and international trade regulations, provide strategic guidance to cross‑functional teams, manage compliance risks, and serve as the primary liaison with government authorities and external partners related to global trade. This role ensures full compliance with all applicable import and export laws, regulations, and trade programs across global markets, while supporting efficient supply chain operations and business growth.
NewCompliance and Privacy Business Partner (44744) Neighborhood Health Plan of Rhode IslandCompliance and Privacy Business Partner (44744)Smithfield, RIRequired: Bachelor's Degree in healthcare, or related discipline or sufficient experience and/or background to equate to the degree; or minimum of four (4) years experience working in a healthcare environment, with at least one (1) year working with/in a regulatory environment. Comply with all guidelines established by the Centers for Medicare and Medicaid Services (CMS) and guidelines set forth by other regulatory agencies including EOHHS and OHIC, and other areas where applicable.
Principal Technology Risk Analyst - Program & Regulatory Assurance FMR LLCPrincipal Technology Risk Analyst - Program & Regulatory AssuranceSmithfield, RIRemotePlease be advised that Fidelitys business is governed by the provisions of the Securities Exchange Act of 1934 the Investment Advisers Act of 1940 the Investment Company Act of 1940 ERISA numerous state laws governing securities investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations including FINRA among others. The Technology Risk Program and Regulatory Assurance team is responsible for managing controls to support program requirements monitoring the results of control testing to meet program requirements and ensuring a consistent risk and control taxonomy is leveraged in accordance with enterprise best practices.
Technology Risk Director- CyberSecurity Citizens Financial Group IncTechnology Risk Director- CyberSecurityRI$190,000–$240,000 / yearThe role partners closely with Technology, Corporate Security, Legal, Compliance, Risk, Audit, and business leaders to ensure cybersecurity risk strategies are fully integrated with business objectives, regulatory expectations, and enterprise resilience goals. As a First Line of Defense Cybersecurity Risk Director within the Enterprise Technology Security (ETS) Risk organization, you will provide strategic leadership in protecting the organization against evolving cyber threats while enabling business innovation.
Third Party Risk Sr Analyst Citizens Financial Group IncThird Party Risk Sr AnalystRIThe Third-Party Assessment function adds value by providing specific business function assurance on vendors, in relation to customer, financial or reputational risk and bringing momentum to action plans to address risk and leveraging findings and best practice on a bank wide scale. Working directly with key business leaders to facilitate risk analysis and risk management processes, identifying acceptable levels of risk and establish roles and responsibilities with regards to risk management.
Brightstar Lottery - Head of Enterprise Risk Management (19218) The City of ProvidenceBrightstar Lottery - Head of Enterprise Risk Management (19218)Rhode IslandThe successful candidate will be equally comfortable advising senior leadership and the Board, facilitating risk discussions with leaders who may be less risk-articulate, and personally driving core ERM activities such as assessments, reporting, governance and follow-though on mitigation planning. This role is responsible not only for maintaining and enhancing the ERM framework, but also for improving risk maturity across the enterprise by helping leaders translate high level risks into clear ownership, practical mitigating actions, and strong decision making.
Senior Specialist, Quality Risk & Governance Amgen IncSenior Specialist, Quality Risk & GovernanceRIIn addition to the base salary, Amgen offers a Total Rewards Plan, based on eligibility, comprising of health and welfare plans for staff and eligible dependents, financial plans with opportunities to save towards retirement or other goals, work/life balance, and career development opportunities that may include: A comprehensive employee benefits package, including a Retirement and Savings Plan with generous company contributions, group medical, dental and vision coverage, life and disability insurance, and flexible spending accounts. As an organization dedicated to improving the quality of life for people around the world, Amgen fosters an inclusive environment of diverse, ethical, committed and highly accomplished people who respect each other and live the Amgen values to continue advancing science to serve patients.
Enterprise Risk Manager BankNewportEnterprise Risk ManagerMiddletown, RIThe Bank's commitment to excellence requires that an adept Enterprise Risk Manager be in place as to identify, evaluate and report on enterprise risks, as well as develop and implement strategic mitigation plans to safeguard the Bank's operations and ensure a competitive edge. SUPERVISORY SCOPE: While the Enterprise Risk Manager doesn''t have direct managerial responsibilities, they play a pivotal role in interfacing with various departments, providing insights, and guiding them on compliance matters.
First Line Risk Sr Manager Citizens Financial Group IncFirst Line Risk Sr ManagerRI$117,000–$153,000 / yearExperience in developing Private Wealth risk and compliance programs for dual-registered Broker-Dealer/Registered Investment Advisor, and RIA serving ultra-high net worth clients, 12 CFR 9 Trust and Fiduciary business, including exposure to Alternative Investments and 33 and 40 Act programs. Consumer Banking Risk Management has an immediate opening for a First Line Risk Senior Manager supporting our Private Wealth Management - RIA and Trust Fiduciary businesses with direct responsibility for the front-, middle-, and back-office Trust products and services.
NewRegional Operational Risk & Safety Leader SecuritasRegional Operational Risk & Safety LeaderProvidence, RISecuritas Security Services USA, Inc. is seeking an Operational Risk Manager (ORM) to lead the regional efforts in operational risk mitigation and compliance. Ideal candidates will possess a bachelor's degree along with relevant operational risk management experience.#J-18808-Ljbffr.
Regional Analyst - Compliance Bally's CorpRegional Analyst - ComplianceLincoln, RI$25–$28 / hourMonitors, and as necessary, coordinates BSA/AML compliance activities of other departments to remain abreast of the status of all BSA/AML compliance activities and to identify trends. Performs other tasks as assigned, to include, but not limited to: Reviews and provides input related to external audits (Federal and non-gaming state agencies).
Mgr Cybersecurity Program & Risk Blount Fine FoodsMgr Cybersecurity Program & RiskWarren, Rhode IslandWe are an engaging team, bringing restaurant-quality products to America including single-serve grab-n-go fresh soups, mac & cheese, and entrées in grocery stores across the country, as well as for hot bars and restaurants. This role goes beyond program coordination to actively shape risk decisions, influence executive leadership, and ensure cybersecurity risks are understood, prioritized, and managed in business terms.
First Line Risk Senior Manager Citizens Financial Group IncFirst Line Risk Senior ManagerRI$115,000–$145,000 / yearSupport various business line projects to address specific risk issues, working with business leaders to analyze and quantify risks, assess solutions or mitigation activities, and develop remediation plans. While in this role, you will be responsible for proactively reviewing, analyzing, and identifying emerging risks, escalating to the Senior Director/Director of First Line Risk where appropriate.
ETS Risk Analyst II Citizens Financial Group IncETS Risk Analyst IIRIMaintain awareness of emerging risks and evolving technologies (e.g., artificial intelligence, automation, and data driven processes) and assess their impact on control design, effectiveness, and monitoring approaches. Identify, evaluate, and prioritize opportunities to enhance control testing through automation, data analytics, and improved key control metrics, partnering with stakeholders to support implementation.
Operational Risk Manager - Cybersecurity Citizens Financial Group IncOperational Risk Manager - CybersecurityRI$100,000–$135,000 / yearCertifications Preferred: Certified Internal Auditor, Certified Regulatory Compliance Manager, Certified Fraud Examiner, Certified Public Accountant, Certified Investments Derivative Auditor, Project Management Professional, Certified in Risk and Information System Controls, or other relevant risk certifications. The role may be co-located as needed with the relevant business and must be actively engaged to support the business with providing domain-relevant advice, monitoring, and credible expert challenge to ensure the independent Non-Financial Risk Program is effectively implemented.
Compliance Specialist I Navigant Credit UnionCompliance Specialist ISmithfield, RIFull timeUnder the supervision of VP Compliance, the Compliance Specialist supports the credit union's enterprise-wide Compliance Management System (CMS) with a focus on second line compliance monitoring and assurance, including testing, control validation, and issue identification. These are just a few of the reasons why Navigant Credit Union has been named "Rhode Island's Best Place to Work" year-after-year by the Providence Business News .
Fraud Risk Analytics Sr Analyst Citizens Financial Group IncFraud Risk Analytics Sr AnalystRI$79,000–$95,000 / yearThe Fraud Risk Sr Analyst is accountable for monitoring and developing fraud risk strategies for Citizens Consumer Debit & ATM Card accounts with a focus on IT tools and systems to monitor and mitigate fraud. The Fraud Risk Sr Analyst will take the lead in the development of fraud processes, strategies, and IT controls/tools to mitigate fraud risk during all facets of the Debit & ATM process while balancing customer experience, operational and product P&L impacts.
Senior Risk Manager: Payments Citizens Financial Group IncSenior Risk Manager: PaymentsJohnston, RI$124,000–$150,000 / yearAs a First Line Risk Senior Manager supporting the Treasury and Wholesale Payments division in Commercial Banking, you will represent the First Line of Defense and identify and mitigate potential risks for the Bank's three electronic critical payment transaction types and processing systems; ACH, Real Time Payments (RTP), and Wire. This role focuses on identifying, assessing, and mitigating technology, compliance, and operational risks across these critical payment channels, including Commercial's Treasury & Wholesale Payments various product offerings under these specific payment types.
Compliance Specialist II Navigant Credit UnionCompliance Specialist IISmithfield, RIABOUT THE ROLE: Under the general supervision of VP Compliance, the Compliance Specialist II supports the credit union's enterprise-wide Compliance Management System (CMS) with a focus on leading and executing the second line compliance monitoring and assurance activities. These are just a few of the reasons why Navigant Credit Union has been named "Rhode Island's Best Place to Work" year-after-year by the Providence Business News.
NewAI Compliance & Technology Analyst MaximusAI Compliance & Technology AnalystProvidence, RIYou'll assess internal controls, identify risks, and partner with cross-functional stakeholders—including management, process owners, and external auditors—to develop practical, effective risk mitigation strategies. Additional Duties and Responsibilities: Plans and conducts audits of the organization's information systems and related processes to identify risks impacting integrity, reliability, efficiency, and security of applications, platforms, or procedures.
Payment Network Compliance Analyst (Visa/Mastercard/Discover) Citizens Financial Group IncPayment Network Compliance Analyst (Visa/Mastercard/Discover)RI$86,000–$101,000 / yearCitizens is seeking a Payment Network Compliance Analyst to support our sponsorship oversight program within the Payments Risk organization. At Citizens, we are committed to fostering an inclusive culture that enables all colleagues to bring their best selves to work every day and everyone is expected to be treated with respect and professionalism.
Senior Vendor Security Risk Management Analyst Factory Mutual Insurance CoSenior Vendor Security Risk Management AnalystRI$106,000–$152,000 / yearFM is seeking a Senior Information Security Analyst with deep expertise in Third-Party Risk Management (TPRM), you will play a critical role in protecting FM by assessing how external vendors, SaaS platforms, and cloud solutions interact with our systems and data. Evaluate vendor security programs, control effectiveness, and governance, along with deep-dive assessment of the specific product being implemented including solution architecture, data flows, and integration points.
Operational Risk Manager Securitas Security Services USA IncOperational Risk ManagerProvidence, RIThis role is part of Division Risk Management and partners closely with the assigned Region to proactively reduce loss exposure and improve operational performance. You're eligible for the Management Medical Plan (MMP), which replaces an HSA or FSA and provides up to $2,000 annually in reimbursement for eligible healthcare expenses not covered by your primary plan.
NewSenior CRE Appraisal Reviewer - Risk & Valuation Leader Umb BankSenior CRE Appraisal Reviewer - Risk & Valuation LeaderProvidence, RI$83,200–$178,800 / yearThe ideal candidate has a Bachelor's degree and at least five years of experience in real estate appraisal or review, and must be a state-certified general commercial appraiser. The role is a critical part of the Credit Administration team, responsible for ensuring compliance with valuation regulations and mitigating risk through rigorous appraisal processes.
Brightstar Lottery - Director, Compliance Operations (19079) The City of ProvidenceBrightstar Lottery - Director, Compliance Operations (19079)Rhode IslandAs a premier pure play global lottery company, our best-in-class lottery operations, retail and digital solutions, and award-winning lottery games enable our customers to achieve their goals, fulfill player needs and distribute meaningful benefits to communities. The Director partners closely with senior leadership, Legal, and cross-functional stakeholders to integrate compliance into business operations, leverage technology and AI to improve efficiency, and foster a culture of ethical behavior, integrity, and accountability across the organization.
Lead Director, Network Compliance & Regulator - Northeast CVS Health CorpLead Director, Network Compliance & Regulator - NortheastRI$100,000–$231,540 / yearThis role will also partner closely with the Commercial Regions Compliance ("MCCs") and local network teams across the region for all network filings and state regulatory‑related data requests to help ensure accuracy, completeness, and timeliness of submissions. This position will support the production of the network exhibits required for state‑specific filings within their assigned region, which will include coordination and collaboration with teams that own the source data such as Provider Data Services (PDS) and the Network Government Services team.
Ethics & Compliance Manager Textron IncEthics & Compliance ManagerProvidence, RIServe as administrator and expert for our online training software platform, with the ability to assign access, generate reports, deploy modules and certifications, troubleshoot issues / improvements, interact with the vendors, and train new personnel on use of the software platforms. The E&C Manager will advance Textron's leading ethics and compliance program by supporting and overseeing execution of the Company's E&C operational framework and using strong project management skills and data-driven insights to drive E&C program improvement globally.
Sr Manager Corporate Compliance-Special Needs Plans (Clinical) CVS Health CorpSr Manager Corporate Compliance-Special Needs Plans (Clinical)Woonsocket, RI$82,940–$182,549 / yearAn experienced healthcare compliance professional with strong Medicare and Medicaid expertise who can lead compliance programs, manage regulatory audits, influence senior stakeholders, and ensure Special Needs Plans operate in full compliance with regulatory requirements. This role leads compliance efforts for Special Needs Plans (SNPs), identifies and reduces compliance risks, supports audits and regulatory reviews, and works closely with business leaders and government agencies.
Sr. Manager Corporate Compliance-Special Needs Plans CVS Health CorpSr. Manager Corporate Compliance-Special Needs PlansWoonsocket, RI$82,940–$182,549 / yearThe position works closely with compliance leaders, business partners, and regulators, with a primary focus on Special Needs Plans (SNPs). At CVS Health, you'll be surrounded by passionate colleagues who care deeply, innovate with purpose, hold ourselves accountable and prioritize safety and quality in everything we do.
VP, Compliance - Card Services & Cash Management FidelityVP, Compliance - Card Services & Cash ManagementSmithfield, Rhode IslandRemoteThis role will serve as the central cross-business unit compliance contact for design, governance and oversight for personal card services products offered by Fidelity focusing on a number of areas including, but not limited to, a framework to comply with Regulation E, compliance obligations with respect to fraud and dispute handling, complaint management, customer protection obligations and card-specific controls. The Wealth and Brokgerage Compliance team provides compliance support to teams supporting a wide array of products and services including wealth management, retirement planning, active trading and brokerage services, cash management, college savings, and financial planning and engagement programs.
Sr. Compliance Administrator Charles ITSr. Compliance AdministratorProvidence, RIThis role involves facilitating project tasks with clients, internal teams, and being a point of contact for external auditors to manage compliance activities, conduct assessments, and provide technical guidance. Compliance Administrator is responsible for managing assessments to help develop, implement, and maintain policies and procedures to ensure organizational compliance with regulatory frameworks.
Compliance Administrator Charles ITCompliance AdministratorProvidence, RIThis role involves facilitating project tasks with clients, internal teams, and being a point of contact for external auditors to manage compliance activities, conduct assessments, and provide technical guidance. The Compliance Administrator is responsible for managing assessments to help develop, implement, and maintain policies and procedures to ensure organizational compliance with regulatory frameworks.
Compliance Manager Citizens Financial Group IncCompliance ManagerJohnston, RIStrong working knowledge of the compliance risks associated with a banking institution as well as experience working in and/or building effective compliance programs. The Compliance Manager will be responsible for enforcing the procedures and processes of the Wealth Management Surveillance and Monitoring program by performing the following activities: Review electronic and manual surveillance reports.
Head of Consumer Compliance Advisory Citizens Financial Group IncHead of Consumer Compliance AdvisoryJohnston, RI$242,000–$294,000 / yearAs a trusted partner to our Consumer business line, the Senior Director of Consumer Compliance Advisory will sit on the Consumer leadership team and act as a critical second‑line function, partnering with the business and first‑line teams while maintaining independence, credibility, and strong regulatory engagement. In this role you will be expected to provide subject matter expertise on various regulations including Regulation Z (TILA), Homeowners Protection Act, Fair Credit Reporting Act, Fair Debt Collections Practices Act, RESPA, and Flood Disaster Protection Act.
NewCompliance Advisor FMR LLCCompliance AdvisorSmithfield, RIThis notice is applicable to all personal information collected by Fidelity through either this site operated on behalf of Fidelity by Beamery andor other Careers Sites" including those Fidelity Websites and Web pages dedicated to employee recruitment across Fidelity business entities and geographical locations. Asset Management Compliance AMC" works closely with Fidelitys investment teams across all asset classes to ensure compliance with global regulations investor requirements and corporate policies in the interest of promoting customer trust and confidence in Fidelity.
Quality Compliance & Systems Manager Tri-Mack PlasticsQuality Compliance & Systems ManagerBristol, Rhode IslandOur broad capabilities include collaborative engineering, tool making, injection molding, thermoplastic composite processing, multi-axis CNC machining, bonding and assembly, testing and quality control - all within a modern, environmentally controlled 60,000 sq. Serving as the Quality Management Representative for AS9100 and ISO 9001, this role supports certification activities, customer audits, management reviews, and ongoing compliance with customer, regulatory, industry, and business requirements.
Senior Environmental Compliance Specialist CHA Consulting IncSenior Environmental Compliance SpecialistProvidence, RI$100,000–$120,000 / yearIn this role, you will support aviation projects that balance operational needs with environmental responsibility-helping airport sponsors advance critical initiatives while meeting regulatory requirements and long‑term sustainability goals. What You''ll Do: Lead the technical execution of major projects-from concept through completion-by planning, scheduling, and coordinating detailed project phases supporting aviation and airport infrastructure.
HR Compliance Lead General Dynamics CorpHR Compliance LeadNorth Kingstown, RIThe successful candidate will implement, communicate, and maintain programs, practices and procedures that are designed to identify risk, ensure adherence with all applicable related legal/regulatory and compliance requirements, as well as mitigate loss and protect the company. Confidentially collects information to support the handling and processing of ethics complaints and allegations in concert/collaboration with EBs Ethics Officer.
Senior Manager, Compliance Operations FidelitySenior Manager, Compliance OperationsSmithfield, Rhode IslandRemoteInvestment Operations Please be advised that Fidelity’s business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others. The Senior Manager, Compliance Operations oversees the escheatment operations team for Fidelity Digital Assets, FILI, eFILI, HR Services, Accounts Payable, Charitable, Green Pier, Workplace Investing, Fidelity Institutional Asset Management and Fidelity Management Trust Company.
NewSenior Business Compliance Manager, Meritain (TPA) CVS HealthSenior Business Compliance Manager, Meritain (TPA)Providence, RI$67,900–$199,144 / yearThis role partners across teams and stakeholders to lead operational planning, support leadership priorities, advance strategic initiatives, oversee corrective action efforts, and guide the development and review of policies and procedures. The position also provides senior-level oversight of workflow, deliverables, and cross-functional activities to help ensure priorities remain aligned and work moves forward effectively within a compliant environment.
Contract & Compliance Specialist HEB Hilb Group National Practice Employee BenefitsContract & Compliance SpecialistRhode IslandExcellent legal analysis and problem-solving skills that will enable you to function as the primary representative in the resolution of negotiation issues with clients and their counsel. The Contracts Manager works with Sales, Service, Operations, Finance, Compliance, and Legal to reach the desired business goals of Hilb, while managing the firm’s risk.
Lead Director, Healthcare Medicaid Risk Adjustment Analytics CVS Health CorpLead Director, Healthcare Medicaid Risk Adjustment AnalyticsRI$100,000–$231,540 / yearThe Lead Director should also demonstrate leadership in innovation and adoption of modern technologies, data platforms, machine learning, process automation, AI, and data science for optimized insights, workflows, reporting, and process controls. This senior-level role will provide strategic and operational leadership for all Medicaid risk adjustment analytics, reporting, and informatics functions to ensure complete, accurate, and compliant revenue capture.
Risk Manager Operations FidelityRisk Manager OperationsSmithfield, Rhode IslandRemoteRisk Please be advised that Fidelity’s business is governed by the provisions of the Securities Exchange Act of 1934, the Investment Advisers Act of 1940, the Investment Company Act of 1940, ERISA, numerous state laws governing securities, investment and retirement-related financial activities and the rules and regulations of numerous self-regulatory organizations, including FINRA, among others. In Wealth Cash Solutions Personal Cards, we are embarking on a multi-year journey to improve our debit card program – including enhancing our ability to service customers over our live channels, improving the digital experiences (web and mobile), and optimizing our vendor partnership structure.
NewSenior Compliance Professional HumanaSenior Compliance ProfessionalProvidence, RIRemote$86,300–$118,700 / yearTo ensure Home or Hybrid Home/Office employees' ability to work effectively, the self-provided internet service of Home or Hybrid Home/Office employees must meet the following criteria: At minimum, a download speed of 25 Mbps and an upload speed of 10 Mbps is required; wireless, wired cable or DSL connection is suggested. While working within assigned areas to optimize business results, the Senior Compliance Professional will: Oversee pharmacy compliance for the Centers for Medicare & Medicaid Services ?(CMS) Program Audit focused areas, including but not limited to Formulary Administration, Coverage Determination, and Organization Determination (Part B drugs) functions.
Brightstar Lottery - Assistant General Counsel, Compliance & Data Privacy (19266) The City of ProvidenceBrightstar Lottery - Assistant General Counsel, Compliance & Data Privacy (19266)Rhode IslandAs a premier pure play global lottery company, our best-in-class lottery operations, retail and digital solutions, and award-winning lottery games enable our customers to achieve their goals, fulfill player needs and distribute meaningful benefits to communities. Build strong relationships with internal stakeholders including Cybersecurity, Compliance Operations, Internal Audit, Product and Technology teams, Government Relations, and Executive Leadership.
International Tax Manager - Compliance Cherry Bekaert LLPInternational Tax Manager - ComplianceWest Warwick, RI$118,300–$184,100 / yearWhat you can expect from us: Our shared values that foster inclusion and belonging including uncompromising integrity, collaboration, trust, and mutual respect The opportunity to innovate and do work that motivates and engages you A collaborative environment focused on enabling you to further your career growth and continuous professional development Competitive compensation and a total rewards package that focuses on all aspects of your wellbeing Flexibility to do impactful work and the time to enjoy your life outside of work * Opportunities to connect and learn from professionals from different backgrounds and with different cultures Benefits Information: Cherry Bekaert cares about our people. In addition, we offer a comprehensive, high-quality benefits program which includes annual bonus, medical, dental, and vision care; disability and life insurance; generous Paid Time Off; retirement plans; Paid Care Leave; and other programs that are dedicated to enhancing your personal and work life and providing you and your family with a measure of financial protection.