Counsel-Ethics & Compliance
When you join Valvoline Global, you’ll become part of a culture that celebrates creativity, innovation, and excellence. Together, we’re shaping the future of automotive and industrial solutions.Valvoline Global Operations Headquarters is located in Lexington, KY. We prefer local candidates willing to work an in-office work schedule (3 days per week). *We're also open to candidates working in a remote capacity.The Ethics & Compliance Counsel serves as a legal advisor and strategic leader responsible for the design, execution, and continuous improvement of Valvoline Global Operations’ global ethics and compliance program. This role ensures alignment with applicable laws, regulatory requirements, and organizational values while enabling business objectives across diverse international markets.Operating with a high degree of independence, the role oversees global compliance governance, internal compliance investigations, and risk mitigation strategies spanning ethics, anti-bribery and anti-corruption (ABAC), global trade compliance, environmental, social & governance (ESG) compliance, and product regulatory compliance. This includes oversight of chemical regulations, product safety, transportation and hazardous materials compliance, and product stewardship requirements across all VGO entities globally, as well as ensuring appropriate ethics and compliance standards are established, monitored, and upheld within VGO joint ventures. The position plays a critical role in fostering a culture of integrity, managing legal and reputational risk, and providing transparent reporting and insights to executive leadership, shareholders, and the Board Audit Committee.How You Will Make An ImpactGlobal Ethics & Compliance Program LeadershipLead and evolve VGO’s global ethics and compliance program, ensuring a risk-based, scalable framework aligned with regulatory requirements, industry standards, and company values across all wholly owned entities and joint ventures.Oversee key compliance program elements, including Code of Conduct, policy governance, ABAC, global trade compliance, ESG-related compliance, product regulatory compliance, and third-party risk management.Design and implement global compliance risk assessments, monitoring, and reporting processes to evaluate program effectiveness and drive continuous improvement.Stay abreast of evolving regulatory, enforcement, and ESG reporting landscapes and proactively advise business leaders on emerging risks and required actions. Investigations & Reporting Programs OversightDirect the global compliance investigations function, including ethics hotline operations, case management systems, and anti-retaliation processes, ensuring accessibility, confidentiality, and appropriate escalation.Independently assess allegations of misconduct to determine potential violations of law, regulation, or company policy.Plan, scope, and lead complex, high-risk, and confidential internal investigations from inception through resolution.Review and provide guidance on investigation work conducted by investigators or regional resources to ensure consistency and quality.Ensure timely and appropriate documentation, reporting, and closure of investigations, including tracking remediation actions through completion.Governance, Reporting & Board EngagementPrepare and deliver comprehensive compliance reporting and analytics to the Valvoline Leadership Team (VLT), shareholders, and the Board Audit Committee, including trends, key risks, and investigation outcomes across global operations and joint ventures, as applicable.Support Board Audit Committee (BAC) activities through preparation of compliance updates, investigation summaries, ESG-related reporting insights, and forward-looking risk perspectives.Provide guidance to compliance governance forums and leadership on risk posture, mitigation strategies, and program effectiveness. Policy, Training & CultureLead the drafting, review, and ongoing enhancement of global ethics and compliance policies, including those related to ESG reporting, environmental compliance, product stewardship, and regulatory obligations governing chemical safety and transportation.Oversee the development, implementation, and maintenance of compliance procedures and workflows to operationalize policies effectively.Lead the design and deployment of global compliance training and communications to promote awareness of legal requirements, ethical expectations, and regulatory obligations across product lifecycle and environmental impacts.Advance a strong speak-up culture and reinforce non-retaliation principles across all regions and business functions.Lead the annual Conflict of Interest (COI) disclosure process, including certification, review, risk mitigation, and reporting.Cross-Functional & Global PartnershipPartner cross-functionally with global HR, Finance, Security, Product, Supply Chain, ESG, and Internal Audit teams to proactively identify legal, compliance, and governance risks and implement practical, defensible solutions.Coordinate with regional legal teams and manage external counsel to deliver consistent, pragmatic guidance on employment, ethics, ABAC, export controls, environmental compliance, and product regulatory matters.Support compliance aspects of internal audits, Aramco compliance audits, ESG reporting reviews, and other regulatory assessments, including tracking, remediation, and reporting of findings across wholly owned entities and joint ventures.Advise on cross-border transactions, product distribution, third-party relationships, and market expansion activities to proactively identify and mitigate compliance risks.Third-Party Risk Management & Regulatory ComplianceSupport and mature VGO’s third-party risk management program, including onboarding, implementation, and optimization of third-party due diligence platforms and processes.Oversee risk-based due diligence and monitoring of third parties, with a focus on ABAC, export controls, sanctions, ESG considerations, and product compliance risks.Establish and enhance governance, escalation, and mitigation frameworks related to third-party compliance risks across global operations and joint ventures.Product Regulatory & ESG ComplianceProvide legal oversight and guidance on global product regulatory compliance, including chemical regulations, product safety requirements, and product stewardship obligations.Support compliance with environmental and ESG-related regulations and reporting frameworks, including environmental disclosures, sustainability reporting, and related governance expectations.Advise on compliance with global chemical regulatory frameworks (e.g., Globally Harmonized System of Classification and Labeling of Chemicals (GHS)) and applicable regional requirements.Provide guidance on transportation and hazardous materials regulations, including Department of Transportation (DOT) requirements related to shipping, handling, and distribution of regulated materials.Partner with Product, Supply Chain, and ESG teams to ensure compliant product lifecycle management, including labeling, safety data sheets, storage, transportation, and disposal requirements.Monitor regulatory developments related to environmental, health, safety, and product compliance, and translate requirements into actionable business guidance.Risk Mitigation & Continuous ImprovementMonitor investigation trends, case data, compliance metrics, and ESG-related risks to identify systemic issues and implement preventative legal, policy, and training solutions.Lead or support enterprise compliance initiatives, including ESG integration, regulatory readiness, risk assessments, and audits.Ensure effective follow-up on corrective and disciplinary actions to confirm timely and appropriate implementation. What You’ll NeedJuris Doctor (JD) from an accredited law school and active license to practice law.Significant experience (typically 5–8 years) in ethics & compliance, internal investigations, regulatory law, ESG compliance, or related legal roles within a global organization.Demonstrated expertise in compliance program management, including ABAC, global trade, ESG compliance, and product regulatory frameworks (e.g., chemical regulations, product safety, transportation compliance).Strong knowledge of environmental and product-related regulatory regimes, including GHS, DOT hazardous materials regulations, and global product stewardship standards.Proven ability to lead complex, sensitive internal investigations and provide clear, risk-based recommendations.Experience interacting with executive leadership and Board-level stakeholders, including preparation of formal reports and presentations.Experience managing outside counsel and working across multiple jurisdictions.Exceptional analytical, judgment, and problem-solving skills with the ability to operate independently in high-stakes situations.Excellent written and verbal communication skills, including the ability to convey complex legal and regulatory concepts to non-legal audiences.High level of integrity, discretion, and professional ethics.Primarily office-based or hybrid work environment with extended periods of sitting and computer use.Ability to manage multiple priorities and deadlines in a fast-paced, global environment.Occasional travel (approximately 10–20%) to support global investigations, training, audits, and business engagement.May require availability outside standard business hours to support global operations and urgent compliance matters.Compensation range $120,00-$175,000 based on candidates experience, plus bonus eligibleRequisition ID: 2247