Staff Specialist in Regulatory Affairs at Stryker, focusing on medical devices and regulatory compliance. Responsibilities include assessments, submissions, and stakeholder education in a hybrid setting.
Staff Specialist in Regulatory Affairs at Stryker, focusing on medical devices and regulatory compliance. Responsibilities include assessments, submissions, and stakeholder education in a hybrid setting.
Employee Compliance role focusing on regulatory excellence within Deutsche Bank UK. Processing applications and managing compliance with FCA and PRA for senior personnel.
Sr. Manager overseeing communication projects and compliance in claims management at Sedgwick. Leading teams and ensuring best practices while maintaining client relationships.
Regulatory - CMC Development Expert supporting strategic projects at Pierre Fabre, a top dermo - cosmetics laboratory. Focus on CMC regulatory strategy from trials to marketing applications.
AVP Treasury Compliance BA supporting liquidity compliance reviews and gap analyses. Collaborating with Treasury and Business teams for documentation and reporting processes.
AVP, Compliance Officer leading compliance risk assessments and supporting regulatory changes at Axos Bank. Responsible for enhancing compliance programs and liaising with business units in a regulated environment.
VP Compliance Officer at Axos Bank responsible for regulatory compliance and risk management. Ensuring bank operations align with federal and state laws while guiding the compliance team.
Director leading Global Compliance Testing for Manulife's regulatory control function in financial services. Overseeing compliance testing programs aligned with SEC regulations and fostering a culture of compliance.
Director of Cyber Risk Governance overseeing cybersecurity and regulatory compliance at Manulife. Ensuring adherence to global regulations while enhancing cybersecurity governance practices.
Energy Compliance Analyst supporting U.S. Ventureâs renewable business compliance activities. Collaborating with regulatory bodies and internal teams on compliance programs.
Advisor Practice Compliance overseeing operations in mutual fund and securities disciplines. Analyzing advisor practices and ensuring compliance with organizational standards.
Lead Compliance Officer managing trade surveillance and market conduct risk for Wells Fargo. Overseeing compliance programs, collaborating with management, and providing regulatory expertise for high - risk projects.