Regulatory Affairs Specialist managing state regulatory activities for crop protection products. Supporting compliance, communication with agencies, and maintaining databases.
Responsibilities
Support the team in the management of state regulatory activities necessary to obtain and maintain registrations including, FIFRA Sections 3, 24(c), 2(ee), 18, 5 for crop protection products;
Communicate with State regulatory agencies regarding submissions, approvals, renewals and etc.
Maintain and update regulatory databases and other internal tracking systems.
Scan regulatory mail and other supporting documents, and file electronically.
Track and Process payment of state registration fees, including but not limited to, new product registration fees, annual state renewal fees, tonnage and etc.
Review product labels for accuracy and consistency.
Maintain compliance by interpreting and evaluating federal and state registration requirements as they apply to our products;
Provide regulatory support and service to both internal and external stakeholders;
Respond to inquiries for regulatory information from internal and external stakeholders.
Scan regulatory and supporting documents, file in databases and/or mail to designated recipients
Other assignments, as required.
Requirements
BA/BS in a field of science, business, or a related degree plus 2 years of professional working experience
Strong attention to detail is required.
Highly developed written and oral communication skills
Proficiency in the Microsoft Office suite
Database Management experience
Strong problem solving skills
Ability to multitask and manage multiple projects
Ability to work independently and in a team environment
Experience with document comparison tools is a plus.
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.
Senior Executive/Executive in charge of compensation and compliance at Orfium, ensuring legal adherence and proper employee relations while managing benefits and compensation strategies.
Compliance Reporting Assistant supporting compliance activities and gaining hands - on experience in a dynamic international environment. Assist in preparing reports and dashboards while collaborating with various stakeholders.
Environmental Compliance Specialist managing compliance with environmental laws for natural gas projects in multi - state areas. Supervising consultants, preparing compliance reports, and conducting audits.
Compliance Analyst ensuring adherence to Federal Energy Regulatory Commission and ERCOT standards. Collaborating with various teams to manage compliance documentation and processes.
Manage compliance testing for Manulife within the Canada Segment team. Analyze key business controls and recommend improvements for compliance in financial institutions.