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As the licensed Funeral Director, responsible for the compliance with all mortuary, health, and vital statistics regulation compliance within the funeral establishment(s). Ensures compliance with local, state, and federal regulations.
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Monitors, evaluates and provides advice on process development, compliance and internal controls and provides information and reporting to management. + Provides fiscal oversight of operations and provides financial reports to the RVP. Recommends and evaluates cost control compliance and seeks new and innovative ways to reduce costs of labor and materials.
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Laws, rules and regulations pertaining to shuttle bus operations and pupil transportation, including DOT compliance. Perform work in adherence to safe work practices and procedures and in compliance with applicable standards and specifications, including to perform work in accordance with and maintain equipment as required Patch and install seat covers and other accessories on buses.
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Support grant administration and contract activities, ensuring compliance with guidelines. In collaboration with MSU procurement and legal counsel, administer CSAM's contract process from drafting to execution, including professional service contracts, fee-for-service contracts, grants, consultant contracts, state inter-agency contracts, and others.
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This role requires a deep understanding of data governance principles, data management discipline, data privacy, and regulatory compliance requirements and solutions. Lead solution design leveraging DG tools, such as Informatica IDMC, Collibra, Alation, or open source and cloud-native capabilities (AWS, Azure, GCP)Troubleshoot and Resolve technical issuesCoach junior team members and lead DG technical competencies and skills strengthBusiness DevelopmentNeed to actively contribute to Pre-Sales / Business Development of the Data Governance domain.
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The UC San Diego Office of Ethics & Compliance (OEC) serves as an independent, objective internal resource responsible for coordinating and monitoring the University's ethics, compliance and enterprise risk activities.
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3-5 years of experience in consumer compliance, internal audit, professional services, or consulting Preferred Knowledge and Skills Strong knowledge of U.S. banking laws and regulations, specifically consumer protection regulations impacting loan origination and servicing (HMDA, ECOA, FCRA, TRID, etc.
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Familiarity with PGP and SFTP/SSH encryption algorithms, data security, and compliance standards (e.g., PCI-DSS, HIPAA, GDPR) is a MUST. Security and Compliance: Ensure compliance with data security and privacy regulations during file transfers.
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Job Description & Requirements Specialty: Home Health Discipline: RN Start Date: ASAP Duration: Ongoing Employment Type: Staff Audits UAS assessments for all VNS Health Plans product lines to ensure quality and regulatory compliance.
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Provides quality claim handling throughout the claim life cycle (customer contacts, coverage, investigation, evaluation, reserving, litigation management, negotiation and resolution) including maintaining full compliance with internal and external quality standards and state specific regulations.
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Collaborate with clinical and non-clinical departments to enhance patient-centered care and improve patient satisfaction value-based care goals, regulatory compliance ratings, and recognitions.
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Technical project expertise in environmental investigations, remediation, and environmental compliance. Design experience with landfills, landfill gas management, sub-slab depressurization systems, pump and treat systems, liquid and air treatment, discharge permitting, injection permitting, green/sustainable remediation, sustainable/resilient infrastructure, and/or life cycle assessments.
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As the Quality Control, Compliance Specialist, you will act as the primary source of contact for the second and third shift teams; oversee day-to-day service of production equipment. Develops, implements, manages and tracks effectiveness of corrective action plans for exceptionsParticipates in Quality Review Board representing the QC Laboratory and communicating status, root cause, and CAPAsCoordinates and lead USP/EP/ICH Committee to assess and trigger change implementation to remain in compliance.
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A minimum of three years of financial crimes (i.e., AML/OFAC/Anti-Bribery and Corruption (ABC)/Anti-Fraud) compliance or corporate intelligence or due diligence experience in the financial or professional services industries and/or with relevant banking/securities regulatory agencies.
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Demonstrated proficiency in public cloud infrastructure services, with professional certifications in AWS, Azure, and GCP Extensive experience with Qualys and other security and compliance platforms in various capacities, including practitioner, technical seller, sales engineer, or customer success architect.
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compliance job in Livingston, NJ
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