Senior Compliance Risk Specialist ensuring compliance risk management for Boeing. Engaging with stakeholders to identify and mitigate compliance and fraud risks within the organization.
Responsibilities
Proactively engage with business and functional partners to identify, manage and monitor existing and emerging compliance risks, including fraud risks, within assigned risk area(s)
Partner closely with the relevant business or functional risk owners and Law & Global Compliance colleagues to develop and implement remediation and mitigation strategies, conduct focused root cause analyses, and drive effective corrective action plans to address substantiated misconduct or non-compliance
Serve as a subject matter expert in the assigned risk area(s), able to identify potential risks, assess organizational impact, and guide risk-based remediation and mitigation measures
Translate legal and regulatory requirements into pragmatic operational controls; escalate legal or regulatory issues to management when necessary
Continuously monitor and integrate internal and external data sources to identify existing risk trends and emerging issues, and deliver clear, data-driven, and timely insights and recommendations to risk owners
Provide timely, transparent advice and support to help the business prioritize and address compliance issues so the company meets legal, regulatory, and ethical obligations while supporting business objectives.
Prioritize compliance risks strategically to focus attention and resources on the most critical issues, exercising sound judgment to avoid broad and unfocused efforts
Build and maintain strong, collaborative relationships with stakeholders at all levels to advance effective compliance risk management across the organization
Support special projects, audits, or investigations as required
Requirements
Bachelor’s degree in business, finance, law, engineering or related discipline
7+ years of relevant experience, including roles in compliance, risk management, regulatory affairs or law
Adept at working in a cross-functional environment with a variety of stakeholders
Experience conducting risk-based analysis of data and processes to identify risks, including fraud risk, patterns, and potential remedial actions
Demonstrated ability to develop subject-matter expertise and translate legal or regulatory guidance into practical and sustainable solutions and strategies for mitigating risk, escalating matters where appropriate to management or relevant stakeholders
Strong interpersonal, communication, analytical and presentation skills
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