Manager overseeing compliance programs within Electric Operations at PG&E. Leading audits, maintaining quality assurance, and managing regulatory compliance initiatives.
Responsibilities
Oversee ongoing audits of compliance programs across Electric Operations and related entities.
Ensure adherence to regulatory standards and internal policies for covered assets.
Develop and maintain a centralized repository for compliance evidence records.
Supervise staff responsible for documentation and recordkeeping.
Lead special projects focused on benchmarking industry best practices and implementing improvements.
Assess potential impacts and recommend strategic responses to compliance challenges.
Present programmatic updates to executives in response to risk management, regulatory inquiries, and external communications.
Provide clear, data-driven insights to support decision-making.
Define and track department metrics aligned with annual and long-term goals.
Regularly present scorecards to senior leadership and adjust based on business needs.
May lead implementation of the ICP for Bulk Electric System (BES) assets (100 kV and above).
Ensure compliance with external regulatory requirements and internal company standards.
Oversee key components including risk assessments, internal controls, training, corrective actions, and audit readiness.
Oversee Electric Compliance (EC) and relationship management for transmission operations.
Own and manage relevant data requests and cases, such as CPUC transmission data requests.
Oversee EC compliance and relationship management for substation operations.
Own and manage relevant data requests and cases, such as CPUC substation data requests.
Requirements
Bachelor’s degree or equivalent experience
8 years of experience with electric utility or related programs.
5 years of experience as a program or project manager.
Bachelor’s degree in Engineering, Business, or related field
Master’s degree in Regulatory Compliance, Legal Studies, or Business Administration
7+ years of experience in electric utility compliance, quality assurance, or operations
Strong knowledge of BES assets and regulatory frameworks (e.g., NERC, FERC, CPUC)
Proven leadership in managing audits, cross-functional teams, and complex projects
Excellent communication and presentation skills for executive audiences
Proficiency in compliance management systems and data analytics tools
Certification in compliance or auditing (e.g., CCEP, CIA)
Experience with enterprise risk management and electric utility operations
Familiarity with transmission and substation asset management systems.
Job title
Electric Compliance Manager – Transmission and Substation
Seek a Jurist / Volljurist for Datenschutz and Compliance at DLG e.V. providing legal support and consultancy with a focus on data protection and corporate law.
Compliance Analyst at Broadridge supporting risk and control for Investor Communication Solutions. Managing audits, investigations, and internal controls in a hybrid work setting.
Electrical Regulatory Manager leading regulatory strategy for new electrical projects at P&G. Collaborating with international teams to ensure compliance and influence regulatory landscapes.
Alcohol Compliance Supervisor at Jiffy Lube Live ensuring responsible service of alcohol. Supervise event employees, uphold compliance with alcohol service guidelines and interact with guests for satisfaction.
GRC Risk Analyst at Tanium conducting compliance assessments and developing risk management policies. Collaborating with stakeholders to ensure adherence to regulatory requirements and industry standards.
Executive Director leading firm - wide Compliance Risk Assessment program for SMBC Group in financial services. Managing CRA process and collaborating with regulatory stakeholders.
Senior Product Environmental Compliance Specialist leading compliance initiatives in Stryker's Endoscopy division. Driving regulatory strategy and cross‑functional alignment in a hybrid role.
Payments RCA Professional at U.S. Bank focused on operational loss reporting and risk management compliance. Collaborating across teams to ensure timely and accurate reporting and process improvement.
Compliance Representative managing risk and compliance under U.S. Bank's financial services. Involves collaboration across various teams and addressing policy violations and customer complaints.
Corporate Compliance Analyst supporting the development of a global compliance program at Vantage Data Centers. Engaging in risk assessments, training, and compliance monitoring to drive process improvements.