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Proficiency in information security domains, including policies and standards, risk and control assessments, access controls, regulatory compliance, technology resiliency, risk and control governance and metrics, incident management, secure systems development lifecycle, vulnerability management, and data protection.
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Oversees the site's Food Safety Plan and HACCP plans Manages the pre-requisite programs for the HACCP and Food Safety Plans (pest control, temp chart recorders, internal facility audits) Monitors process indicators and assures central data collection related to quality, compliance, certifications, and management system.
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You will interface with government officials, customs brokers, freight forwarders, internal/external legal counsel, customers, suppliers and customs agencies in the responsible regions and serve as a resource for Global Trade Compliance matters for Fellowes (management and employees of all levels.
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Strong regulatory and technical understanding of facility and corporate-level environmental permitting/compliance support, including EHS multi-media compliance auditing, environmental site assessments, developing and preparing Spill Prevention, Control & Countermeasure (SPCC) plans, Facility Response Plans (FRPs) and Storm Water Pollution Prevention Plans (SWPPPs), hazardous waste management (RCRA), and federal and state EPCRA reporting.
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Under the direction of the Associate General Counsel, will provide comprehensive oversight and management on a wide variety of regulatory issues including import/export, sustainability, environmental, transportation, autonomous vehicles, and other regulatory matters that impact Navistar.
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Regulatory and quality compliance (FDA, state and local), assisting with facility inspections, enforcement actions, product withdrawals and recalls in the United States and Canada. ACH Food Companies, Inc. is seeking an experienced food law lawyer for its Corporate Counsel - Food Law and Regulatory, North America position.
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Ability to develop and effectively communicate sound regulatory advice and/or policies including best practices, compliance objectives and risk tolerance (High proficiency) The success of the Director of Global Compliance will be defined by their ability to manage a team of skilled compliance professionals and develop programs and procedures to ensure that the organization complies with regulatory requirements and company policies.
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Manage and advise management on legal aspects of the Company's environmental regulatory compliance and responses to any enforcement actions including investigating and responding to requests for information, notices of complaint, notices of violation and citations from EPA, OSHA and EHS related agencies.
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JOB DESCRIPTION Pharma and Personal Care – Regulatory Affairs Manager/ NA Regulatory Business Partner At Ecolab, making the world a cleaner, safer place is our business. Ecolab is a company committed to growth and we believe that the role of Regulatory Affairs is one of the keys to our success in the PPC division.
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The Vice President, Corporate Compliance directs and oversees the design, strategy, and implementation of Athleticos compliance program which includes internal audit, regulatory compliance, corporate compliance, clinical compliance, privacy, and health information management.
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Job Requirements:Bachelor’s Degree or 3 years of experience in lieu of a degreeThree years of equipment/DOT Compliance experienceExperience in data entryExperience in title/licensing managementAbility to effectively communicate internally and externally with field offices, insurance companies, government officials, attorneys, law enforcement agencies, consultants, and customers.
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Accertify is growing, and we are looking to add a Chief Compliance Officer to our Global Fraud Fighting Team. The Chief Compliance Officer will develop and maintain second-line oversight for Accertify.
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10+ serving in a compliance manager role or in a related position serving multiple labs. Work with Legal and other functions including government affairs to ensure that the businesses are aware of and in compliance with all federal and state regulations.
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Assist the Compliance Manager during internal audits and regulatory exams and on any corrective action plans assigned to the Compliance Department; The Compliance Advisor will be the subject matter expert and primary source for direction and day-to-day support to the various business units on loan origination compliance related issues.
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Oversee the Issue Management process, including determining risk events to determine compliance impact, track milestone status, and support weekly reporting to ensure timely closure of gaps and remediation.
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Title: regulatory compliance Company: Flybreeze in Wheaton, IL
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