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Five or more years of experience as an attorney in a law firm, health care organization or related entity working in a leadership role in risk, compliance, or healthcare privacy. Provides privacy expertise to advise internal clients on data uses while managing legal risk and ensuring regulatory compliance.
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Partner with Learning Lead to design, deliver, and support training programs that advance trust and a healthy culture of compliance and ethics, including risk-tailored anti-corruption training and leadership training.
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The Compliance Manager is a key member of the Ethics & Compliance (“E&C”) team supporting Trading & Shipping’s (“T&S”) Gas & Power Trading Americas (“GPTA”) business unit. Develop and deliver training sessions on ethics & compliance related topics and provide timely and accurate advice/guidance to GPTA’s trading & marketing businesses.
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As our Inventory Control Specialist for Catholic Medical Center (CMC), you will play a crucial role in coordinating the daily operational functions of the primary hospital inventory and distribution location.
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This position is part of the Ethics and Compliance (E&C) group, within Baxter’s Legal Department, and reports to the Head of Global Investigations. Contribute to the refinement, development, and documentation of compliance- and investigations-related processes to enhance the operational efficiency of the Investigations function and, in turn, enhance the implementation and execution of Baxter’s global E&C Program.
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Strong expertise in compliance (e.g. AML/KYC/Sanctions, business ethics, personal data, fraud. Assist the Region management on business ethics and financial security issues (e.g. money laundering, terrorism, corruption, fraud); Provide compliance advice for new products and/or distribution channels.
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The CIS Compliance Attorney will develop and document ethics and compliance policies and procedures and work closely with all levels of CIS to ensure that they are operationalized; and will maintain, implement, and manage all training on compliance-related subjects and hot-line processes.
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The Senior Manager, Ethics & Compliance has responsibility for investigating allegations of violations of Company policy, our Code of Conduct, and other internal matters which may be confidential or sensitive, including disclosures for potential conflicts of interest, fraud, corruption, bribery, or other ethical misconduct.
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The employee may also represent the office in all aspects of federal ethics proceedings, ranging from providing ethics training and ethics advice to COPS Office management and staff to coordinating ethics-related investigations with DOJ’s Ethics Office and/or the Office of the Inspector General.
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Senior Compliance Program ManagerThe OpportunityAdobe’s Ethics and Compliance department is looking for a Legal Compliance Program Manager to develop and implement anti-bribery and anti-corruption compliance programs focused on Adobe’s employees and third parties around the world.
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Associate Compliance Counsel is a key liaison between Ethics & Compliance (E&C) and Otsuka’s business and operational teams. Reports to the Associate Compliance Officer-Senior Director or Compliance Counsel-Director in the Ethics & Compliance Department.
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As the Assistant General Counsel for Antitrust and Corporate Compliance, you will play a pivotal role in offering legal counsel on antitrust matters, conducting risk assessments, crafting training materials, and supporting various facets of the ethics and compliance program.
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Knowledge of a range of common regulatory requirements, whether State, Federal or Global, such as those related to trade compliance, ethics compliance (anti-bribery and corruption, FCPA), ADA/WCAG, GDPR, and various HR/employment related regulations desirable.
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Corporate Counsel will be mainly responsible for drafting, reviewing and updating internal compliance processes, policies and procedures, researching and tracking relevant statutes and regulations applicable to the organization, assisting with compliance and risk mitigation, handling of compliance and ethics trainings and handling of internal self-audits with the guidance and supervision of the General Counsel, among other responsibilities.
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Reporting to our SVP and General Counsel, this position will provide day-to-day global support for Meridian’s non-FDA compliance and CSR programs including, but not limited to, trade compliance, anti-corruption compliance, competition/antitrust compliance, conflicts of interest, gifts and entertainment, Code of Ethics, GDPR/Privacy law, Government Contracting, Conflict Minerals compliance, CSR (Corporate Social Responsibility), etc.
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