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Reporting to the Chief Executive Officer (“CEO”), the Chief Investment Officer (“CIO”) is responsible for developing and overseeing the investment strategy and investment risk framework, and ensuring they align with SHEPP’s mission of delivering pensions to its members and the organization is well-positioned to capture opportunities while mitigating risks.
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Job Title: Sr. Regulatory Affairs Manager. Tagged as: Sr. Regulatory Affairs Manager. Has a minimum of 8 years relevant technical accounting and reporting experience in the utility industry or public accounting experience including FERC Form 1 and 3-Q financial reporting preparation, research and compliance.
$110,000 - $150,000 a yearExpandApply NowActive JobUpdated 5 days ago - UpvoteDownvoteShare Job
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Compliance and Reporting: Ensure compliance with federal, state, and local regulations governing employee benefits, including but not limited to ERISA, ACA, FMLA, and COBRA.Prepare and submit required reports to regulatory agencies, benefit providers, and internal stakeholders.
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Proficient knowledge of IRS/DOL reporting knowledgeProficient regulatory compliance and plan document knowledgeExcellent written and verbal communication skillsStrong attention to detail requiredExcellent time management.
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This may include quantitative and qualitative analysis, reviews of loan documentation and reporting, and assessing compliance with GSE and regulatory guidelines. Regular client collaboration, servicer engagement, and reporting of portfolio performance is expected in conjunction with the other Asset Manager(s) assigned to a client under this role's leadership is expected.
ExpandApply NowActive JobUpdated 9 days ago - UpvoteDownvoteShare Job
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Development of portfolio campaign strategies, customized reporting, and project management functions are a core expectation of the Lead. Overall quality and performance of the Asset Management Team is also the responsibility of this position.
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Responsibilities of a Software Developer on the Quality Measures mPages regulatory reporting team will include development of CCL , JavaScript dashboards based upon government specifications and company procedures.
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You’ll help our clients navigate the audit planning process, apply Internal Revenue Service practice and procedure, address information reporting and withholding matters, and facilitate 9100 relief.
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As we continue to grow, we are looking for a Safety & Training Coordinator who will be part of the corporate Risk Management Team reporting to the Director of Safety in the Risk Management and Regulatory Affairs Department at the headquarters’ office in Kansas City, Kansas.
Full-timeExpandApply NowActive JobUpdated 15 days ago - UpvoteDownvoteShare Job
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Additionally, this role will have explicit focus on the Corporate Actuarial function, including management of regulatory communication, NAIC Statement of Actuarial Opinion processes, external and internal audit framework, third-party reserve analyses on behalf of the Arch Insurance Group, SOX compliance, as well as US GAAP and Statutory reporting requirements in closer partnership with both Arch Insurance Group Finance organization and Arch Capital Group Actuarial and Finance organizations.
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The Associate Director is a key member of the Market Regulation Surveillance and Market Intelligence section’s leadership team and is responsible for the effective generation and progression of regulatory reviews conducted by the section.
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Job Description Review clinical documentation as appropriate to extract data and apply appropriate codes for billing, internal and external reporting, research, and regulatory compliance.
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Conduct various administrative tasks including, but not limited to, processing and filing paperwork, responding to emails, answering phone calls, reporting maintenance and distribution, maintaining site bulletin boards, tracking and following up on regulatory compliance and trainings, etc.
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Reports to: Chief Financial OfficerKey Responsibilities/Accountabilities: Oversee the financial reporting processes and ensure compliance with accounting standards, regulatory requirements, and internal policies.
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The Senior Compliance Specialist will be responsible for managing compliance with federal and state renewable fuels programs including new project planning, pathway analysis, development, and registration; pathway maintenance; routine monthly, quarterly, and annual reporting; program/pathway audits and verification; and regulatory research, interpretation, and compliance for all Seaboard Foods RNG and Seaboard Energy locations.
ExpandApply NowActive JobUpdated 12 days ago
regulatory reporting jobs in Kansas City, KS
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