Compliance analyst jobs in Kansas City, MO - 56 jobs
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Lead Compliance and Risk Coordinator
Tyler Technologies 4.3
Compliance analyst job in Overland Park, KS
Description Tyler Technologies is seeking a seasoned and detail-oriented Lead Compliance & Risk Coordinator to lead the oversight of our payments systems, ensuring robust internal controls, regulatory compliance, and proactive fraud detection and prevention. This role is critical in overseeing enterprise-wide payment risk, supporting audits, and maintaining the integrity and security of all payment-related operations. Responsibilities Compliance & Regulatory Oversight
Ensure company-wide compliance with applicable payment regulations (e.g. NACHA, AML, BSA, OFAC, KYC, MTL/ADTL).
Develop, implement, and monitor policies and procedures that ensure ongoing compliance with regulatory and card network requirements.
Serve as a key liaison with regulatory bodies, payment networks, and financial partners.
Risk Management
Identify, assess, and mitigate risks associated with payment processing, money movement, and third-party service providers.
Lead the response and remediation efforts for payment-related incidents and breaches.
Develop and maintain a compliance and risk dashboard with key identifiers to ensure compliance with card brand regulations and industry standards (e.g. chargeback ratios, return ratios, etc.).
Fraud Prevention and Detection
Design and manage anti-fraud strategies, tools, and controls to detect and prevent fraudulent activity. Maintain and enhance current Fraud Standardization practices and policies.
Collaborate with the reporting, strategy and development teams to enhance real- time fraud monitoring.
Analyze trends and generate actionable insights from fraud data to improve defenses.
Audit & Internal Controls
Oversee monthly, quarterly and annual payment process audits, both internal and external, ensuring timely and accurate responses to audit requests.
Maintain up-to-date documentation of payment-related processes and controls (e.g., SOX 404, third-party SOC documents, internal audit frameworks, third party due diligence requests, etc.).
Oversee and maintain internal system controls (service enablement, user provisioning, bank setups, etc.).
Evaluate and enhance the design and effectiveness of internal controls over all financial transactions and payment systems.
Oversee and maintain Money Transmission License (MTL) dashboard and reporting.
Team Leadership & Cross-Functional Collaboration
Lead a team of three compliance and risk specialists.
Partner with Legal, Finance, Product, Infrastructure, Development, and Customer Support to integrate risk and compliance considerations into existing and new product and service offerings.
Provide training and education on payment risk and compliance best practices across the organization.
Qualifications:
Required:
Bachelor's degree in finance, Accounting, Business Administration or a related field.
5-7 years of experience in payments compliance, risk management, or audit in a financial service or fintech environment.
In-depth knowledge of payments systems (ACH, card networks, RTP, wires) and related regulations.
Strong familiarity with internal control frameworks and audit methodologies.
Preferred:
Professional certifications such as CFE, CAMS, CRCM, CPA, or CIA.
Experience with fraud detection tools (e.g., Actimize, SAS, Sit, or similar platforms).
Experience working with fintech platforms, payment gateways, or digital wallets.
Key Competencies:
Analytical and detail-oriented mindset
Strong understanding of financial regulations and operational risk
Excellent written and verbal communication
Ability to manage multiple priorities and work under pressure
High integrity and discretion in handling confidential information
Working Conditions
Hybrid, 2 days onsite
Occasional travel for audits, conferences, or regulatory meetings (10%)
$56k-72k yearly est. Auto-Apply 1h ago
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Commercial Business Risk and Compliance Manager
First Busey Corporation 4.5
Compliance analyst job in Leawood, KS
The Commercial Business Risk and Compliance Manager is responsible for developing, updating and/or facilitating the implementation of commercial lending-specific business procedures to minimize the organization's exposure to regulatory criticism, reputation, and financial risk of loss. This position serves as the subject matter expert for commercial lending laws and regulations and provides consultative advice across commercial lending processes from end-to-end as it relates to commercial lending risk and compliance.
Duties & Responsibilities
* Assess controls frameworks throughout the commercial business lines for adequacy against the Company's enterprise-wide controls framework with an emphasis on regulatory compliance controls.
* Provide recommendations for improvements where deficiencies are identified and monitor resolution/implementation of the recommendations.
* Provide guidance to business line staff to ensure control design and/or enhancement objectives adequately mitigate risk in the most operationally efficient manner possible.
* In coordination with business line staff, develop or enhance control testing standards and monitoring tools to evaluate the design and operating effectiveness of key controls; monitoring includes, sample testing, end-to-end process reviews and reviewing key indicators.
* Function as a liaison between the second line of defense and the business lines to ensure appropriate coordination on commercial-related changes in law and regulation by translating the regulatory impact into the business lines' operations.
* Support change management necessitated by 1) the impact of new legislation/regulations or 2) the introduction or modification of new products and services; assist business line staff in implementing monitoring programs to ensure new processes/controls are effective.
* Provide direct assistance to business lines in support of enterprise-wide efforts to identify, assess, measure, monitor, and report risk; when levels of risk are outside of appetite, assist in implementing mitigating controls and ensure evidence of associated training.
* Create and maintain reporting that captures the status of a variety of risk and compliance projects and initiatives to keep business line staff and management, as well as second line partners, informed about first line priorities and progress.
* Respond to a variety of queries from business line staff, and other internal parties, insofar as they relate to commercial risk and compliance initiatives.
* Responsible the data accuracy of the CRA and HMDA reportable loans, ensuring no lapses in flood insurance coverage, and the preparation of flood letters for the commercial lending division.
Education & Experience
Knowledge of:
* Strong oral and written communication skills; can adapt communication and presentation style to fit various audiences.
* In-depth and up-to-date knowledge of commercial lending regulations and trends, which include certain consumer and small business protection regulations.
* Design and documentation of procedures and controls that promote consistent and repeatable processes.
Ability to:
* Develop new procedures and approaches to remediate a variety of issues and findings.
* Develop testing and monitoring programs and related metrics to measure the effectiveness of business processes.
* Problem-solve by making sound and timely recommendations or decisions to keep forward progress; is discerning and applies situational knowledge to determine appropriate action or escalation.
* Identify process efficiency and automation opportunities to strengthen control effectiveness.
* Establish and maintain collaborative partnerships at all levels throughout the organization; facilitate cooperation between process leaders when conflicting views and priorities arise.
* Manage a department and team of associates.
Education & Training:
* Bachelor's degree or the equivalent combination of education and experience; Business or Finance degree preferred.
* 8-10 years' experience in financial services with an audit, risk management or compliance background and/or experience with commercial lending processes, credit risk processes and compliance requirements.
* Large-bank experience (> $10B) strongly preferred.
* Current Certified Regulatory Compliance Manager (CRCM) certification preferred.
* Proficiency in Microsoft Office required, Smartsheet and other project and reporting tools preferred.
Benefits and Compensation
Salary offered is based on factors, including but not limited to, the job duties, required qualifications and relevant experience, and local market trends. The role may be eligible for bonus or incentives based on company and individual performance.
(Base Pay Range: $80,000 - $100,000/year)
Busey provides a competitive Total Rewards package in return for your time, talents, efforts and ultimately, results. Your personal and professional well-being-now and in the years to come-are important to us. Busey's Total Rewards include a competitive benefits package offering 401(k) match, profit sharing, employee stock purchase plan, paid time off, medical, dental, vision, company-paid life insurance and long-term disability, supplemental voluntary life insurance, short-term and long-term disability, wellness incentives and an employee assistance program. In addition, eligible associates may take advantage of pre-tax health savings accounts and flexible spending accounts. Visit Busey Total Rewards for more information.
Equal Opportunity
Busey values a diverse and inclusive workplace and strives to recruit, develop and retain individuals with exceptional talent. A team with diverse talent, working together, is essential to Busey's commitment of delivering service excellence. Busey is an Equal Opportunity Employer including Disability/Vets. Visit Busey.com/Careers to learn more about Busey's Equal Opportunity Employment.
Unsolicited Resumes
Busey Bank, and its subsidiaries, does not accept any liability for fees for resumes from recruiters or employment agencies ("Agency"), without a binding, written recruitment agreement between Busey and Agency describing the services and specific job openings ("Agreement"). Busey may consider any candidate for whom an Agency has submitted an unsolicited resume and explicitly reserves the right to hire those candidate(s) without any financial obligation to the Agency, unless an Agreement is in place. Any email or verbal contact with any Busey associate is inadequate to create a binding agreement. Agencies without an Agreement are requested not to contact any associates of Busey with recruiting inquiries or resumes. Busey respectfully requests no phone calls or emails.
$80k-100k yearly Auto-Apply 5d ago
Compliance Analyst
Dentons Us LLP 4.9
Compliance analyst job in Kansas City, MO
Chicago, IL, USWashington DC, DC, USKansas City, MO, USDallas, TX, USPhoenix, AZ, USAtlanta, GA, US Jan 23, 2026 Dentons US LLP is currently recruiting for a ComplianceAnalyst. The ComplianceAnalyst coordinates governance and compliance activities with stakeholders across the business. Core duties include cross-functional support for legal services and related systems, implementing risk management initiatives, and ensuring client and administrative data is handled according to ethical, legal, and contractual standards.
**Responsibilities**
+ Review client information security requirements, questionnaires, and assessments; prepare responses and supporting artifacts.
+ Develop and manage an evidence collection calendar for CMMC & SOC 2 Type 2 testing periods; coordinate collection, validation, and retention of evidence demonstrating operating effectiveness.
+ Maintain and continuously enhance a control matrix mapping NIST/ISO control framework, SOC 2 Trust Services Criteria (TSC), CMMC practices, and client requirements.
+ Help develop, maintain, evaluate, and implement policies and procedures aligned to business requirements and legislative changes (e.g., ISO 27001/22301, HIPAA), and extend/align them to SOC 2 Type 2 and CMMC requirements where applicable.
+ Maintain an inventory of improvement opportunities and action items; prepare periodic reports on trends and compliance posture across ISO/NIST/SOC 2/CMMC domains.
+ Maintain governance inventories such as client security notification requirements and regulatory/contractual obligations.
+ Review and track ad hoc client notifications and requests related to information security (e.g., vulnerability notifications, ad hoc control validation requests).
+ Collaborate with Risk Management and IT on implementation and ongoing operation of security controls required by clients and security frameworks (e.g., access restrictions, logging/monitoring, vulnerability management, change/configuration management).
+ Assist with the Third-Party Risk Management (TPRM) program; enhance vendor and cloud service provider inventories; collect and evaluate risk artifacts such as SOC 2 reports and supply chain assurances; track and remediate vendor risks.
+ Perform other duties as assigned based on the ongoing evolution of the Information Security program and client/regulatory requirements, including continued maturation of SOC 2 and CMMC compliance capabilities.
**Experience & Qualifications**
+ Minimum of 3 years' experience in an Information Security or Security Compliance role.
+ Demonstrated understanding of information security controls, governance principles, and standards/frameworks such as SOC 2 and CMMC.
+ Hands-on experience coordinating at least one full SOC 2 Type 2 examination cycle, including scoping, control mapping to AICPA TSC, evidence collection across an audit period, system description support, auditor engagement, exception management, and remediation tracking.
+ Practical experience implementing or assessing NIST SP 800-171 controls and building/maintaining SSPs and POA&Ms; familiarity with CMMC 2.0 levels (with emphasis on Level 2), DFARS clauses, SPRS scoring, and C3PAO readiness activities.
+ Experience with GRC or evidence management tools to map controls, manage testing, track issues, and produce audit-ready evidence.
+ Strong written and oral communication skills; ability to translate technical controls into business language and prepare clear, complete audit responses.
+ Ability to prioritize and work effectively under deadlines; capable of working independently and collaboratively across legal, IT, risk, procurement, and client teams.
+ Strong critical thinking, analytical, and problem-solving skills; demonstrates continuous improvement mindset and proactive collaboration.
+ Knowledge of cross-border regulations, such as GDPR and EU data privacy rules, is a plus.
+ Industry certifications such as CISSP, CISA, CISM, CRISC are a plus.
**Salary**
Chicago Only DOE:$73,760 - $94,000
Washington DC Only DOE: $75,280 - $96,000
Dentons US LLP offers a competitive salary and benefits package including medical, dental, vision, 401k, profit sharing, short-term/long-term disability, life insurance, tuition reimbursement, paid time off, paid holidays and discretionary bonuses.
_Dentons US LLP is an Equal Opportunity Employer - Disability/Vet. Pursuant to local ordinances, we will consider for employment qualified applicants with arrest and conviction records._
_If you need any assistance seeking a job opportunity at Dentons US, LLP, or if you need reasonable accommodation with the application process, please call our Talent Acquisition Specialist at *************** or contact us at *************************************._
**About Dentons**
Redefining possibilities. Together, everywhere. For more information visit ***************
**Nearest Major Market:** Chicago
$75.3k-96k yearly 60d+ ago
Conflicts & Compliance Analyst
Clyde & Co Us LLP 4.7
Compliance analyst job in Kansas City, KS
OverviewYou will be responsible for assisting partners and other members of Clyde & Co with the new business inception process in line with legislation, case law, and regulatory requirements for a variety of jurisdictions. This will include conflicts of interest, anti-money laundering processes for new and existing clients, on-going client monitoring, sanctions checks, and other risk management procedures.StructureYou will be part of the global Conflicts & Compliance BAU Team, reporting regionally to the Head of BAU, North America. The BAU Team consists of a Global Head; a North American Regional Head; Team Leaders; Lawyers/Counsel; Senior Analysts; Analysts; and Assistants. The BAU works very closely with the firm's Risk Department, including its AML & Sanctions Lawyers and paralegals; General Counsel(s); and Risk Managers.Main ResponsibilitiesConflicts:
Reviewing Intapp Open request forms, including but not limited to new client and matter forms, initial conflicts checks only, and client/matter changes, ensuring satisfactory details are provided by the Case Handlers and querying instances where information is either incomplete or unclear.
Analyzing the new client and/or new matter to determine the risks associated with the instruction.
Conducting conflicts checks using the firm's conflicts database, paying close attention to sensitive entries in the firm's Black Book warning file database.
Analyzing conflict search results and liaising with Partners/Case Handlers on the matters that may present conflicts of interest. Obtaining relevant information on the matter, if required, in order to make a judgement call on whether a conflict or potential conflict is present.
Escalating conflicts issues as appropriate with clear analysis of the conflict and the conclusions reached so far.
Proactively following up when seeking information or conflict resolution from other stakeholders around the firm.
Maintaining and updating the conflict search database as key information becomes apparent on existing matters.
Assisting in the research and implementation of ethical walls/information barriers. Working with the Risk Team as needed, safeguarding confidentiality at all times for the involved teams.
Supporting the high volume business on matter inception, ensuring that conflict checks are carried out in a timely manner.
Recording all conflict research, communication with stakeholders, and analysis and conclusion of the conflict resolution in the firm's client and matter inception software, for the purposes of compliance and auditing.
Anti-Money Laundering
Researching, identifying and verifying new clients by using online data providers and any other online resources.
Analysing and establishing the corporate structure for clients where relevant and tracing up to the ultimate beneficial owners.
Advising Case Handlers on further details that are required from the client in the event that information is not available in the public domain or documentation is required on identified individuals.
Researching and identifying PEPs and high risk clients by creating an online profile.
Attributing a risk rating to the client and escalating the client where a decision needs to be made upon analysis of documentation and risk.
Seeking sign off from MLRO's and Risk Partners when required and advising the Case Handlers on any steps that need to be taken to mitigate the risks associated with the client.
Assisting in the on-going monitoring for existing clients and updating Client Due Diligence for existing clients.
Recording all AML documentation, communication and risk rating in the Client Risk Assessment section of the client and matter inception software, with a clear synopsis of how the client rating has been attributed, stating any mitigating factors and follow up steps that need to be taken by the BAU or Case Handlers.
Compliance
Maintaining technical knowledge, expertise and know how on the nature of the work each department undertakes in the Firm, conflicts, AML, and sanctions.
Screening all clients and matters for sanctions and escalating any adverse findings to the Risk Team and Sanctions Partners.
Carrying out the conflict checking and client on-boarding process for lateral hires.
Supporting junior members of the BAU Team on queries and training.
Answering queries from around the firm on the BAU helpline and through the BAU email inbox and escalating urgent queries to the appropriate individual within the department.
Assisting on the execution of projects as and when they arise.
Experience & Skills:
Knowledge of conflicts of interests rules and software.
Knowledge of anti-money laundering legislation (Desirable).
Strong MS Office.
Meticulous attention to detail.
Strong customer focus.
Excellent communications skills.
Strong spelling and grammar skills.
Degree or other relevant qualifications.
Experience using Elite Enterprise or similar management systems (Desirable)
Our ValuesOur values are the principles that guide the decisions we make, unite us in our endeavors and strengthen our delivery, for our clients and our firm. We:
Work as one- We are a globally connected team of talented people who act with a firm-first mentality to achieve success
Excel with clients- We aim high and challenge ourselves to deliver unique excellence for our clients, keeping them at the center of everything we do
Celebrate difference- We help each other to be at our best and believe our differences result in greater achievement
Act boldly- We seek new opportunities, take action and learn as we go, recognizing that curiosity drives our development and contributes to growth
Benefits offered include medical, dental, and vision insurance; 401K Safe Harbor contribution; Life/AD&D Disability; Flexible Spending Account; Supplemental Medical Accident Insurance; Supplemental Critical Illness Insurance; Employee Assistance Program; Pet Insurance; Commuter Benefits and more!
When you work at Clyde & Co, you join a team of 500 partners, 2,400 lawyers, 3,200 legal professionals and 5,500 people in nearly 70 offices and associated offices worldwide. Our values are the principles that guide the decisions we make, unite us in our endeavours and strengthen our delivery, for both our clients and our firm. We work as one, excel with clients, celebrate difference and act boldly. We are committed to operating in a responsible way by progressing towards a diverse and inclusive workforce that reflects the communities and clients it serves. We are devoted to providing an environment in which everyone can realise their potential, using its legal and professional skills to support its communities. We do this through pro bono work, volunteering and charitable partnerships, and minimising the impact it has on the environment, including through our commitment to the SBTi Net-Zero standard and the setting of ambitious emissions reduction targets.
We offer a range of tailored benefits and support, including healthcare, retirement planning and wellbeing initiatives.
Clyde & Co is proud to be an equal opportunities employer. Our core values encourage us to support fairness, celebrate diversity and prohibit all forms of discrimination in the workplace to allow everyone to excel at work. Therefore, we welcome and encourage all applications from suitably qualified individuals, regardless of background or identity.
Please take a moment to read our privacy notice carefully. This describes what personal information Clyde & Co (we) may hold about you, what it's used for, how it's obtained, your rights and how to contact us as a data subject.
If you are submitting a candidate as a Recruitment Agency Partner, it is an essential requirement and your responsibility to ensure that candidates applying to Clyde & Co are aware of this privacy notice.
$47k-62k yearly est. Auto-Apply 60d+ ago
Coverage & Compliance Analyst
State of Kansas
Compliance analyst job in Shawnee, KS
Job Posting The Kansas Department of Labor (KDOL) assists in the prevention of economic insecurity through unemployment insurance and workers compensation, by providing a fair and efficient venue to exercise employer and employee rights, and by helping employers promote a safe work environment for their employees. This facilitates compliance with labor laws while enabling advancement of the economic well-being of the citizens of Kansas.
At KDOL, our employees are our most valuable resource. We encourage our employees to grow and advance by participating in job shadow/training opportunities within KDOL. We value work-life balance and offer flexible schedules and telework opportunities.
As a quickly growing agency, we are always looking for passionate, talented and creative people to join our team. If you're looking for a challenge that will lead you to the next level of your career, you've found the right place. Come grow with us!
Learn more @ dol.ks.gov
About the Position
Who can apply: External (Open to all)
Classified/Unclassified Service: Unclassified
FLSA Status: Non-exempt
Full-Time/Part-Time: Full-Time
Work Schedule: Monday - Friday, 8:00 am - 5:00 pm
Eligible to Receive Benefits: Yes
Office Location: Onsite: Topeka
Application Due: Open until filled
Wage: $18.17/hour
Employment Benefits:
Employment Benefits:
* First day of employment coverage under the State's comprehensive medical and prescription drug coverage and dental plan.
* Additional voluntary options including vision, hospital indemnity, accident and critical illness insurance plans and flexible spending accounts.
* Retirement and deferred compensation programs
* Sick & Vacation leave
* Work-Life Balance programs: parental leave, military leave, jury leave, funeral leave
* Paid State Holidays (designated by the Governor annually)
* Employee discounts with the STAR Program
* We celebrate employee appreciation and host socializing events
Visit the Employee Benefits page for more information…
Position Summary & Responsibilities: Coverage & ComplianceAnalyst (Program Consultant)
This position is responsible for reviewing and processing workers' compensation insurance data and issue reports to ensure accuracy, compliance, and timely resolution. Duties are performed under supervisory review for quality and adherence to established procedures.
Primary Duties
* Review and process OSCAR issue reports on a daily basis, including fraud complaints, missing coverage, missing E-1 filings, missing employer First Report of Injury (FROI), and policy information entry into NCCI for self-insured employers.
* Assist with elections processing and resolution of WCIRS and Social Security number issues during staff absences.
* Annually administer the required program collecting detailed information from insurance companies and group-funded self-insurance plans regarding accident prevention programs provided to policyholders or covered entities, in accordance with Kansas workers' compensation requirements.
* Provide assistance to internal and external users in identifying employers and verifying proof of coverage through OSCAR.
All work is subject to supervisory review to ensure accuracy, completeness, and compliance with applicable standards and regulations.
Minimum Requirements:
* Minimum of one year experience in general office or administrative support
* High School Diploma or equivalent
Special Knowledge, Skills & Abilities:
* Problem solving, analytical ability, oral communication, written communication & customer service.
* Computer skills and familiarity with Microsoft Office and technical skills are required in order to access records & review reports. Ability to do research in database & other agency systems to make decisions to continue further investigation.
Contact Information:
Name: Pamela Hann
Email: **************************
Mailing Address: 401 SW Topeka Blvd., Topeka, KS 66603
Job Application Process:
* First Sign in or register as a New User.
* Complete or update your contact information on the Careers> My Contact Information page. *This information is included on all your job applications.
* Upload required documents listed below for the Careers> My Job Applications page. *This information is included on all your job applications.
* Start your draft job application, upload other required documents, and Submit when it is complete.
* Check your email and My Job Notifications for written communications from the Recruiter.
Helpful Resources at jobs.ks.gov: "How to Apply for a Job - Instructions" and "How to Search for a Job - Instructions"
Required Documents for this Application to be Complete
Upload these on the Careers - My Job Applications page
* Résumé
Helpful Resources at jobs.ks.gov: "How, What, & Where do I Upload Documents"
Preference Eligibility:
How to Claim Veterans Preference
Veterans' Preference Eligible (VPE): Former military personnel or their spouse that have been verified as a "veteran"; under K.S.A. 73-201 will receive an interview if they meet the minimum competency factors of the position. The veterans' preference laws do not guarantee the veteran a job. Positions are filled with the best qualified candidate as determine by the hiring manager.
Learn more about claiming Veteran's Preference
How to Claim Disability Hiring Preference
2024 Senate Bill 333 creates an employment preference for qualified job applicants that have physical, cognitive and/or mental disabilities when applying for state jobs. The preference is available to individuals who are not currently working for the State of Kansas who apply for a State job, as well as to current State employees who apply for a different job or promotion.
Learn more about claiming Disability Preference
PLEASE NOTE: The documentation verifying a person's eligibility for use of this preference should not be sent along with other application materials to the hiring agency but should be sent directly to OPS either by fax, email or post office mail as indicated:
These documents should be sent by fax to **************, scanned and emailed to *************************, or can be mailed or delivered in-person to:
ATTN: Disability Hiring Preference Coordinator
Office of Personnel Services
Docking State Office Building
915 SW Harrison St Suite 260
Topeka, KS 66612
Equal Employment Opportunity
The State of Kansas is an Equal Opportunity Employer. We value diversity, equity, and inclusion as essential elements that create and foster a welcoming workplace. All qualified persons will be considered for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, political affiliation, disability or any other factor unrelated to the essential functions of the job.
If you wish to identify yourself as a qualified person with a disability under the Americans with Disabilities Act and would like to request an accommodation, please address the request to the agency recruiter.
Trust Compliance Officer & Cybersecurity Specialist OOJ 22284
Annual Salary: $110,000-120,000
Other Compensation: Management Bonus up to $15,000 depending upon company and individual performance
Job Description
As Trust Compliance Officer & Cybersecurity Specialist, you will review and manage the compliance program, including the South Dakota office. You will write, maintain, and help implement internal policies and procedures, ensuring they align with applicable laws and regulations. Your role will involve reviewing and updating policies to ensure compliance with relevant laws and regulations, including BSA/AML/OFAC requirements. You will prepare reports for the internal risk committee, with a focus on compliance and cybersecurity. Acting as a resource to clients, you will provide guidance and support on compliance and security matters. Additionally, you will assist with compliance and security training. You will also participate in the employee hiring process. You will monitor the cybersecurity program. Recommending necessary changes to the IT Director will be a critical part of your responsibilities. You will also educate internal business partners on cybersecurity best practices.
Qualifications
To succeed in this role, you will have:
A BS or BA college / university degree
A strong understanding of compliance and regulatory requirements, including BSA/AML/OFAC laws.
Must have experience working with trust compliance and experience working with OCC.
Experience in cybersecurity, including monitoring and recommending changes to information security programs, is desired.
A proven ability to write, maintain, and implement internal policies and procedures.
Excellent analytical, problem-solving, and communication skills are required, along with the ability to prepare and present detailed reports for internal committees.
Experience in training and development is a plus.
Relevant certification is desired.
$110k-120k yearly 60d+ ago
Director of Workers' Compensation and Compliance
Job Listingsnational Beef Packing Co., LLC
Compliance analyst job in Kansas City, MO
Find your future at National Beef!
National Beef of Kansas City, Missouri, is seeking to hire a qualified professional to fill a position as Director of Workers' Compensation and Compliance. With competitive pay and benefits, stable work, and an environment that is caring and supportive, National Beef could become your next career move!
Competitive wages and benefits:
Family-friendly benefits including Health, Dental, and Vision
401 (k) with Company match
Paid Vacation
Paid Holidays
Tuition Reimbursement
Responsibilities
Director of Workers' Compensation and Compliance responsibilities include but are not limited to:
The Director of Workers' Compensation and Compliance for National Beef Packing Company will oversee the strategic planning and administration of the organization's workers' compensation and the organizations compliance programs. The role is responsible for ensuring the program is compliant with regulations, effective in managing costs, and focused on the care and safe return-to-work of injured employees.
Additionally, this individual will have oversite to the adherence to all relevant laws and regulations while developing and implementing strategies to mitigate potential business risks. The role requires a strategic leader who can identify, assess, and manage risks related to legal, ethical, human resources and auto-liability and worker's compensation matters.
Key Responsibilities:
Program leadership and strategy: Develop and execute the workers' compensation strategy, aligning policies and procedures with organizational goals and industry best practices. For large companies, this includes multi-jurisdictional compliance.
Claims oversight: Oversee the entire claims management lifecycle, from initial reporting to resolution. This often involves managing third-party administrators (TPAs) and other vendors to ensure timely, fair, and cost-effective claims handling.
Litigation management: Provide guidance on complex, high-exposure claims and manage litigation matters in collaboration with internal and external legal counsel resolving, settling and bringing litigated matters to a close
Risk mitigation and loss control: Analyze claims data to identify trends and implement proactive initiatives to reduce workplace injuries, minimize risk, and control claim costs.
Stakeholder liaison: Serve as the primary point of contact for internal and external stakeholders, including senior leadership, human resources, finance, legal, insurance carriers, and regulatory bodies.
Audits and investigations: Oversee or lead internal audits and investigations into alleged or potential compliance violations, ensuring appropriate corrective actions are taken.
Cross-functional collaboration: Work closely with other departments, such as HR, IT, Legal, and Operations, to ensure risk management and compliance efforts are integrated into business processes.
Incident response: Manage incident reporting and investigations, including overseeing an incident hotline and developing corrective action plans.
Budgeting and reporting: Develop and manage the program's budget. Create and present performance reports and dashboards to senior leadership on claims performance, emerging risks, and key performance indicators (KPIs).
Team management: Recruit, supervise, and mentor a team of workers' compensation professionals, such as claims managers and analysts. Foster a culture of accountability and continuous improvement.
Other duties as assigned
Reporting Relationships:
Directly reports to the EVP of Human Resources and Administration
Has oversite of the Litigation and Claims Manager.
This is an on-site position.
Qualifications
Qualified candidates for the Director of Workers' Compensation and Compliance position should possess the following:
Experience: Candidates for a Director position typically have extensive, progressive experience in risk management and workers' compensation claims. Senior-level roles may require more than 10 years of experience.
Education: A bachelor's degree in business, human resources, or a related field is generally required. Advanced degrees like a Master of Business Administration (MBA) or certifications such as Certified Workers' Compensation Professional (CWCP) or Associate in Risk Management (ARM) are often preferred.
Knowledge: Must possess deep knowledge of federal and state workers' compensation laws and regulations, industry best practices, and claims management principles.
Analytical skills: Strong ability to analyze claims data, identify trends, and develop data-driven strategies for cost containment and program improvement.
Communication and negotiation: Excellent verbal and written communication skills are essential for managing relationships with all stakeholders, including negotiating with claimants and legal counsel.
Leadership: Proven leadership skills with the ability to build and guide high-performing teams, manage personnel, and drive strategy.
Software proficiency: Familiarity with claims management systems and data analysis tools like Microsoft Excel is necessary.
Must be at least 18 years of age or older.
Applicants must be authorized to work for ANY employer in the U.S. We are unable to provide visa sponsorship at this time.
Company Overview
National Beef is a leader in producing fresh, chilled and further processed beef products for customers in the U.S. and worldwide. We offer a variety of employment opportunities in our production, packaging, and hide tanning facilities that stretch from the western plains to the east coast. We strive to be the preferred employer in every one of those communities, whether it's measured by the number of people employed or the good we do in the area. We invite you to join our family, wherever you call home.
National Beef is an equal opportunity employer committed to workplace diversity. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, sexual orientation, natural origin, age, gender identity, protected veterans status, or status as a disabled individual.
#INDHP
$68k-98k yearly est. Auto-Apply 25d ago
Director of Workers' Compensation and Compliance
National Beef Packing Co
Compliance analyst job in Kansas City, MO
Find your future at National Beef!
National Beef of Kansas City, Missouri, is seeking to hire a qualified professional to fill a position as Director of Workers' Compensation and Compliance. With competitive pay and benefits, stable work, and an environment that is caring and supportive, National Beef could become your next career move!
Competitive wages and benefits:
Family-friendly benefits including Health, Dental, and Vision
401 (k) with Company match
Paid Vacation
Paid Holidays
Tuition Reimbursement
Responsibilities
Director of Workers' Compensation and Compliance responsibilities include but are not limited to:
The Director of Workers' Compensation and Compliance for National Beef Packing Company will oversee the strategic planning and administration of the organization's workers' compensation and the organizations compliance programs. The role is responsible for ensuring the program is compliant with regulations, effective in managing costs, and focused on the care and safe return-to-work of injured employees.
Additionally, this individual will have oversite to the adherence to all relevant laws and regulations while developing and implementing strategies to mitigate potential business risks. The role requires a strategic leader who can identify, assess, and manage risks related to legal, ethical, human resources and auto-liability and worker's compensation matters.
Key Responsibilities:
Program leadership and strategy: Develop and execute the workers' compensation strategy, aligning policies and procedures with organizational goals and industry best practices. For large companies, this includes multi-jurisdictional compliance.
Claims oversight: Oversee the entire claims management lifecycle, from initial reporting to resolution. This often involves managing third-party administrators (TPAs) and other vendors to ensure timely, fair, and cost-effective claims handling.
Litigation management: Provide guidance on complex, high-exposure claims and manage litigation matters in collaboration with internal and external legal counsel resolving, settling and bringing litigated matters to a close
Risk mitigation and loss control: Analyze claims data to identify trends and implement proactive initiatives to reduce workplace injuries, minimize risk, and control claim costs.
Stakeholder liaison: Serve as the primary point of contact for internal and external stakeholders, including senior leadership, human resources, finance, legal, insurance carriers, and regulatory bodies.
Audits and investigations: Oversee or lead internal audits and investigations into alleged or potential compliance violations, ensuring appropriate corrective actions are taken.
Cross-functional collaboration: Work closely with other departments, such as HR, IT, Legal, and Operations, to ensure risk management and compliance efforts are integrated into business processes.
Incident response: Manage incident reporting and investigations, including overseeing an incident hotline and developing corrective action plans.
Budgeting and reporting: Develop and manage the program's budget. Create and present performance reports and dashboards to senior leadership on claims performance, emerging risks, and key performance indicators (KPIs).
Team management: Recruit, supervise, and mentor a team of workers' compensation professionals, such as claims managers and analysts. Foster a culture of accountability and continuous improvement.
Other duties as assigned
Reporting Relationships:
Directly reports to the EVP of Human Resources and Administration
Has oversite of the Litigation and Claims Manager.
This is an on-site position.
Qualifications
Qualified candidates for the Director of Workers' Compensation and Compliance position should possess the following:
Experience: Candidates for a Director position typically have extensive, progressive experience in risk management and workers' compensation claims. Senior-level roles may require more than 10 years of experience.
Education: A bachelor's degree in business, human resources, or a related field is generally required. Advanced degrees like a Master of Business Administration (MBA) or certifications such as Certified Workers' Compensation Professional (CWCP) or Associate in Risk Management (ARM) are often preferred.
Knowledge: Must possess deep knowledge of federal and state workers' compensation laws and regulations, industry best practices, and claims management principles.
Analytical skills: Strong ability to analyze claims data, identify trends, and develop data-driven strategies for cost containment and program improvement.
Communication and negotiation: Excellent verbal and written communication skills are essential for managing relationships with all stakeholders, including negotiating with claimants and legal counsel.
Leadership: Proven leadership skills with the ability to build and guide high-performing teams, manage personnel, and drive strategy.
Software proficiency: Familiarity with claims management systems and data analysis tools like Microsoft Excel is necessary.
Must be at least 18 years of age or older.
Applicants must be authorized to work for ANY employer in the U.S. We are unable to provide visa sponsorship at this time.
Company Overview
National Beef is a leader in producing fresh, chilled and further processed beef products for customers in the U.S. and worldwide. We offer a variety of employment opportunities in our production, packaging, and hide tanning facilities that stretch from the western plains to the east coast. We strive to be the preferred employer in every one of those communities, whether it's measured by the number of people employed or the good we do in the area. We invite you to join our family, wherever you call home.
National Beef is an equal opportunity employer committed to workplace diversity. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, sexual orientation, natural origin, age, gender identity, protected veterans status, or status as a disabled individual.
#INDHP
$68k-98k yearly est. Auto-Apply 39d ago
Compliance Manager
Bally's Corporation 4.0
Compliance analyst job in Kansas City, MO
Why Bally's? Bally's Corporation (NYSE: BALY) is a global casino-entertainment company with a growing omni-channel presence. Bally's owns and operates 19 casinos across 11 states, along with a golf course in New York and a horse racetrack in Colorado and holds OSB licenses in 13 jurisdictions in North America. The acquisition of Aspers Casino in Newcastle, UK, expands its international reach. It also owns Bally Bet, a first-in-class sports betting platform, Bally Casino, a growing iCasino platform, Bally's Interactive International division (formerly Gamesys Group), a leading global interactive gaming operator, and a significant economic stake in Intralot S.A. (ATSE: INLOT), a global lottery management and services business.
With 11,500 employees, its casino operations include approximately 17,700 slot machines, 630 table games, and 3,950 hotel rooms. Bally's also has rights to developable land in Las Vegas at the site of the former Tropicana Las Vegas.
The Role:
The Compliance Manager is responsible for managing adherence to state, federal, and gaming regulations.
Responsibilities:
* Provide hands-on leadership to Compliance department.
* Responsible for correspondence and communications with state regulators.
* Assists and advises other departments and Company personnel, as necessary, to assure the successful compliance of internal controls and standard operating procedures.
* Develop, implement, and maintain internal controls, standard operations procedures and regulation for state and federal agencies.
* Assist with audit follow-up.
* Meet with departmental directors and managers as necessary.
* Maintain an extremely high level of confidentiality in all actions and duties.
* Have complete knowledge of all casino events and promotional activities.
* Comply with all policies and procedures established by Bally's Kansas City Casino and department management.
* Delegate authority and assign responsibilities and work schedules to department staff.
Qualifications:
* Five to seven years professional experience in a compliance, regulatory, or analytical position
* Associates degree or higher in a related field (preferred)
Target Salary:
* $64,500- $70,000 Annual Salary
* Bonus Eligibility
What's in it for you:
* Competitive Salary with annual performance reviews
* Comprehensive health coverage plan that includes medical, dental, and vision
* 401(K)/ Company Match
* Access Perks and Childcare discounts
Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for this job. Duties, responsibilities, and activities may change at any time with or without notice.
Let Bally's Bet on You - We can't wait to meet you!
$64.5k-70k yearly 25d ago
Compliance Manager
Casino and
Compliance analyst job in Kansas City, MO
Why Bally's?
Bally's Corporation (NYSE: BALY) is a global casino-entertainment company with a growing omni-channel presence. Bally's owns and operates 19 casinos across 11 states, along with a golf course in New York and a horse racetrack in Colorado and holds OSB licenses in 13 jurisdictions in North America. The acquisition of Aspers Casino in Newcastle, UK, expands its international reach. It also owns Bally Bet, a first-in-class sports betting platform, Bally Casino, a growing iCasino platform, Bally's Interactive International division (formerly Gamesys Group), a leading global interactive gaming operator, and a significant economic stake in Intralot S.A. (ATSE: INLOT), a global lottery management and services business.
With 11,500 employees, its casino operations include approximately 17,700 slot machines, 630 table games, and 3,950 hotel rooms. Bally's also has rights to developable land in Las Vegas at the site of the former Tropicana Las Vegas.
The Role:
The Compliance Manager is responsible for managing adherence to state, federal, and gaming regulations.
Responsibilities:
Provide hands-on leadership to Compliance department.
Responsible for correspondence and communications with state regulators.
Assists and advises other departments and Company personnel, as necessary, to assure the successful compliance of internal controls and standard operating procedures.
Develop, implement, and maintain internal controls, standard operations procedures and regulation for state and federal agencies.
Assist with audit follow-up.
Meet with departmental directors and managers as necessary.
Maintain an extremely high level of confidentiality in all actions and duties.
Have complete knowledge of all casino events and promotional activities.
Comply with all policies and procedures established by Bally's Kansas City Casino and department management.
Delegate authority and assign responsibilities and work schedules to department staff.
Qualifications:
Five to seven years professional experience in a compliance, regulatory, or analytical position
Associates degree or higher in a related field (preferred)
Target Salary:
$64,500- $70,000 Annual Salary
Bonus Eligibility
What's in it for you:
Competitive Salary with annual performance reviews
Comprehensive health coverage plan that includes medical, dental, and vision
401(K)/ Company Match
Access Perks and Childcare discounts
Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for this job. Duties, responsibilities, and activities may change at any time with or without notice.
Let Bally's Bet on You - We can't wait to meet you!
$64.5k-70k yearly 25d ago
Payroll Compliance Specialist
J.E. Dunn Construction Company 4.6
Compliance analyst job in Kansas City, MO
**Best People + Right Culture. These are the driving forces behind JE Dunn's success.** **By hiring inspired people, giving them interesting and challenging work, enabling them with innovative tools, and letting them share in the company's rewards, we've found a sustainable way to grow in our industry for the last 100+ years.**
**Our diverse teams around the country strive to enrich lives through inspired people and places everyday, and we need inspired people like you to join us in our pursuit of building perfection.**
**Role Summary**
The Payroll Compliance Specialist will assist payroll leadership as the primary point of contact for compliance related reporting and questions both internally with the payroll team and with other functions of the organization. This position will also actively focus on new and proposed changes to the regulatory environment and communicating those to affected parties. All activities will be performed in support of the strategy, vision and values of JE Dunn.
+ Autonomy & Decision-Making: Makes decisions on assigned areas of responsibility, provides recommendations to supervisor and refers all exceptions to supervisor, as needed.
+ Career Path: Various
**Key Role Responsibilities - Core**
+ Serves as team subject matter expert on reporting and compliance related topics
+ Acts as primary point of contact within payroll team on compliance reporting, wage regulation, and relevant payroll deductions
+ Leads largest and most complex compliance audits and reporting, utilizing expertise in compliance
+ Maintains awareness of applicable laws, regulations and other pertinent regulations. Incorporates new or revised information into payroll compliance library
+ Partners proactively with legal and human resources teams on in-depth and cross-functional compliance reviews
+ Creates and validates guides and resources for internal payroll use covering
+ Modifies reports for reoccurring and ad-hoc payroll data audits. Partners with Payroll and HRIS Analysts on future reporting needs
+ Coordinates compliance audits and reporting reviews, assigning tasks to team members and taking responsibility for end product
+ Communicates changes to compliance processes to relevant individuals within and outside the payroll function
**Key Role Responsibilities - Additional Core**
N/A
**Knowledge, Skills & Abilities**
+ Ability to perform work accurately and completely, and in a timely manner
+ Strong knowledge of prevailing wage laws and certified payroll requirements
+ Strong knowledge of Wage and Hour compliance involving the Fair Labor Standards Act, federal and state statutes, and state wage and hour laws and regulations including but not limited to: US Department of Labor, Wage and Hour Division
+ Extensive knowledge of payroll functions, including preparation, balancing, internal controls, payroll taxes, and wage and hour compliance
+ Thorough ability to analyze laws and regulations and to apply requirements to existing business practices
+ Demonstrated ability to interpret and enhance compliance with legal requirements, company policies, procedures, and directive
+ Communication skills, verbal and written - Advanced
+ Proficiency in MS Office
+ Proficiency in payroll software
+ Ability to understand and implement best practice standards
+ Ability to quickly and effectively solve complex problems
+ Ability to deliver quality through attention to detail
+ Organizational skills
+ Listening skills
+ Ability to build relationships and collaborate within a team, internally and externally
**Education**
+ Bachelor's degree (Preferred)
+ In lieu of the above requirements, equivalent relevant experience will be considered.
**Experience**
+ 5+ years' experience with payroll processing or regulatory compliance (Preferred)
**Working Environment**
+ Must be able to lift up to 10 pounds
+ Typically travel is not required
+ Normal office environment
+ Frequent activity: Sitting, Viewing Computer Screen
+ Occasional activity: Standing, Walking, Reaching above Shoulder
**Benefits Information**
The benefits package aligned to this position is Professional Non-Union. Please click the link below for more details.
Click here for benefits details. (************************************************************************************
This role is expected to accept applications for at least three business days and may continue to be posted until a qualified applicant is selected or the position has been cancelled.
_JE Dunn Construction is committed to hiring and retaining a diverse workforce. We are proud to be an Equal Opportunity/Affirmative Action Employer and it is our policy to provide equal opportunity to all people without regard to race, color, religion, national origin, ancestry, marital status, veteran status, age, disability, pregnancy, genetic information, citizenship status, sex, sexual orientation, gender identity or any other legally protected category. JE Dunn Construction is a background screening, drug-free workplace._
**_JE Dunn provides reasonable accommodations to qualified individuals with disabilities. If you would like to request a reasonable accommodation in order to apply for a job, please submit your request to_** **_accommodations@jedunn.com_**
_JE Dunn Construction Company does not accept unsolicited resumes from search firms or agencies. Any resume submitted to any employee of JE Dunn Construction without a prior written search agreement will be considered unsolicited and the property of JE Dunn Construction Company. Please, no phone calls or emails._
Requisition ID: 59871
**Why People Work Here**
At JE Dunn we offer our employees an inspired place to enrich their life and the lives of those around them
**Building on our rich history,** our employee **owners are shaping the future** of JE Dunn. In our team-focused environment **we do life together** and are generously **rewarded for our efforts**
**About JE Dunn**
For more information on who we are, clickhere. (***********************************
**EEO NOTICES**
Know Your Rights: Workplace Discrimination is Illegal (***********************************************************************************************
California Privacy Policy
**E-Verify**
JE Dunn participates in the Electronic Employment Eligibility Verification Program.
E-Verify Participation (English and Spanish) (********************************************************************************************
Right to Work (English)
Right to Work (Spanish) (*****************************************************************************************************************************
**Nearest Major Market:** Kansas City
$58k-76k yearly est. 58d ago
Import Compliance Specialist
Oregon Tool
Compliance analyst job in Kansas City, KS
Go one better, together.
We've built something we're extremely proud of, and we think it's time you became part of it. Working at Oregon Tool, Inc., you'll build your career and do your best work while contributing to the whole of the company. We're for those who lean into challenges and expect that same attitude from the people around them. We're a goal-oriented organization that's firmly committed to creating opportunities for Team Members' talents to shine and inspire the individuals around them so that we all win together.
At 2,400 Team Members across the globe, you're more than just a link in a chain. From new products, programs, and business units, Oregon Tool, Inc. gives you the space to make systemic change within our business. How will you make your mark?
HOW YOU MAKE AN IMPACT
This role will be part of a centralized Compliance team within the Global Supply Chain Organization and will be responsible for ensuring compliance in all import and FTZ related activities for Oregon Tool, Inc. This position will work under the direction of the Director of Global Trade Compliance and will build and maintain effective relationships with cross functional teams at multiple locations as well as external Customs Brokers, to facilitate Oregon Tool's Customs related activities and ensure compliance with applicable laws and regulations.
THE DETAILS
Drive Global Trade Compliance:
Ensure adherence to U.S. and Canadian Customs regulations, manage duty spend, oversee FTZ and bonded warehouse activities, audit entries, and identify savings opportunities while staying fully compliant.
Lead Broker & Trade Partnerships:
Manage customs brokers, resolve entry-related inquiries, and collaborate with internal teams on HTS, FTA, ADD/CVD, Section 301 tariffs, and other regulatory requirements to keep goods moving without delays.
Own Classification Excellence:
Assign HTS classifications for new products, maintain and audit the global classification database, and ensure consistent updates across regions.
Elevate Documentation & Reporting:
Maintain accurate compliance records, support FTA/USMCA certifications, deliver financial reporting, and keep stakeholders informed through clear communication and documentation.
SKILLS AND EXPERIENCE
Customs & Trade Expertise:
5+ years in Customs compliance with a valid Customs Broker's License, strong HTS classification knowledge, and hands-on FTZ experience.
Regulatory & Analytical Strengths:
Deep understanding of U.S. and international Customs requirements, skilled in problem-solving, auditing, and translating regulations into practical business solutions.
Communication & Collaboration:
Clear written and verbal communicator with a customer-focused approach, proven ability to work across global teams, and a reputation for integrity and initiative.
Technical Proficiency:
Advanced Microsoft Office skills, experience with SAP or similar systems, and the flexibility to travel domestically and internationally as needed.
At Oregon Tool, we provide a reasonable, good-faith estimate of the compensation range for this role of $75,000.00 - $90,000.00. Final offers are based on various factors such as experience, skills, qualifications and internal equity. This range may vary based on geographic location where the position is filled, and most new hires are not typically hired at the top of the range.
WHAT WE OFFER:
Medical, Dental, and Vision Benefits available on day one (no waiting period)
401k matching (100% of first 3%, 50% of next 3% = 4.5% match on 6% contribution)
Earn up to 120 hours vacation during your first year of service
One paid Community Involvement Day available per calendar year
Global company with small company feel
Casual work attire
WHO WE ARE:
Oregon Tool, Inc. is a global, premium-branded, aftermarket-driven precision-cutting-tool platform. At Oregon Tool, Inc., it is our goal to create, cultivate and sustain a global, inclusive culture, where differences drive innovative solutions to meet the needs of our employees and customers. We invite and encourage applications from all skilled individuals, including from groups that are traditionally underrepresented, not just because it's the right thing to do, but because it makes our company #SharperTogether.
To learn more about our company and history visit us at: ******************
Oregon Tool, Inc. will only employ those who are legally authorized to work. Any offer of employment is contingent on a background investigation and drug screen. Oregon Tool, Inc. does not discriminate based on sex, race, color, religion, age, marital status, national origin, citizenship, disability, veteran status, or any other status protected under law.
During the application process we will not ask for or collect any confidential, proprietary, or sensitive personally identifiable information (e.g., date of birth; driver's license number; or credit card, bank account or other financial information). If you submit such information, you do so at your own risk, and we will not be liable to you or responsible for consequences of your submission. This notice should not be construed as an offer of employment or creating any terms of employment.
LI-RW LI-RW1
$75k-90k yearly 60d+ ago
Director, Compliance & Third Party Oversight
Trimont LLC
Compliance analyst job in Overland Park, KS
Founded in 1988, Trimont (**************** is a specialized global commercial real estate loan services provider and partner for lenders and investors seeking the infrastructure and capabilities needed to help them scale their business and make informed, effective decisions related to the deployment, management and administration of commercial real estate secured credit. As the largest master servicer of commercial real estate loans in the United States, Trimont manages securitizations with meticulous oversight and coordination-protecting cash flows, mitigating risk, and ensuring portfolio performance.
We do this with a team of 1100+ extraordinary team members who serve a global client base from offices in Atlanta (headquarters), Bengaluru, Charlotte, Dallas, Hyderabad, Kansas City, London, New York and Sydney. We empower our people with advanced technology, industry-leading knowledge, and a culture centered on our core values. This approach enables our teams to deliver exceptional client service, build lasting relationships and take pride in the high-quality work they perform.
Trimont is an innovative firm where visionary professionals come to learn, grow, and thrive with colleagues driven by curiosity and collaboration.
Learn: We believe ongoing learning is critical and are focused on providing a work environment where all team members can take ownership of their careers.
Grow: We work alongside the largest institutional lenders in the world, overseeing the most significant projects in the industry. This unique opportunity allows us to broaden our skillset and develop our abilities by tackling some of the industry's most challenging and exciting endeavors.
Thrive: Our firm is a place where ethics and excellence meet to create an experience that matches our capabilities. There are no limits to what we as team members and as an organization, can achieve together.
Where people, purpose, and progress come together every day.
Job Summary:
The Director, Compliance & Third Party Oversight is responsible for master serviced portfolios for both Commercial Mortgaged Backed Securities (CMBS) and Government Sponsored Enterprise (GSE) loans/transactions. This role requires experience in commercial loan servicing with a strong background in subservicer and vendor oversight, compliance monitoring, and process optimization.
Responsibilities:
* Monitor Subservicers' compliance with Pooling and Servicing Agreements (PSAs) and Subservicing Agreements (SSAs) for each assigned transaction, and follow up as necessary to ensure obligations are met.
* Oversee vendor performance to ensure adherence to contractual requirements.
* Manage the intake and onboarding process for new Subservicer deals.
* Supervise the Subservicer remittance process, including receipt, verification, system updates, research, and resolution of discrepancies.
* Review monthly CREFC reporting, evaluating watchlist and Net Operating Income (NOI) comments for accuracy and completeness.
* Calculate Principal and Interest due, perform servicing fee calculations and similar math around Loan Analysis.
* Analyze and input Subservicer reserve data into Trimont systems.
* Conduct ongoing reconciliation and delinquency assessments of Subservicer-managed loans.
* Support the preparation and execution of on-site and desktop reviews of Subservicers and vendors, including pre-visit information requests, and development of review topics and issue lists.
* Oversee annual, quarterly, and monthly certification processes for all Subservicers related to designated deals.
* Prepare and analyze performance scorecards for Subservicers and vendors.
Required Qualifications:
* BA/BS degree in finance, real estate, accounting or business
* 7+ years of Transaction & Processing experience or equivalent demonstrated through work experience. Training, military experience or education
* 4+ years of experience in commercial real estate, mortgage servicing, financial or accounting environment
* Knowledge of software applications dedicated to the reporting of financials, Watchlist, and other areas of loan servicing
* Functional knowledge of Commercial loans including interest calculations, practices around principal and interest, loan repayment events such as curtailments, payoffs, modifications and extensions.
* Accounting related skills including balancing account transactions and loan investigations for transactional discovery are a plus.
* Commercial Mortgage-Backed Securities knowledge such as remittance cycles, servicing arrangements, compliance related details, PSA/SSA knowledge and new deal closures.
* Strong verbal and written communication skills
* Demonstrated capacity to achieve results in a dynamic setting.
* Organizational and administrative skills that reflect attention to detail and the ability to prioritize amidst competing demands.
* Skilled in managing sensitive information while upholding privacy.
* Handling workload and special projects efficiently.
* Ability to work both independently and within a team environment.
Trimont is an equal opportunity employer, and we're proud to support and celebrate diversity in the workplace. If you have a disability and need an accommodation or assistance with the application process and/or using our website, please contact us. We are proud to maintain a drug-free policy, ensuring that our community is a secure and productive space for all our team members.
$62k-89k yearly est. 21d ago
SAP Finance & Controlling Analyst
SPX Technologies 4.2
Compliance analyst job in Overland Park, KS
Building the people that build the world.
With platforms in HVAC and Detection and Measurement, SPX Technologies builds innovative solutions that enable a safer, more efficient, sustainable world. Through our RiSE talent development framework, we Reach, Identify, Strengthen, and Engage our employees to support them in their continued development. We're a global company of problem solvers, collaborators, and innovators, and our businesses build solutions that impact the world.
As part of HVAC Cooling, SPX Cooling Technologies is a leader in high quality industrial HVAC equipment used to cool large facilities like hospitals, data centers, and power plants. With cooling towers, fans, and refrigeration units, companies rely on brands like Marley, Recold, and SGS to provide comfort and mission critical and industrial cooling solutions.
How you will make an Impact (Job Summary)
SPX is a diverse team of unique individuals who all make an impact. Join us as an SAP Finance & Controlling Analyst, where you will report directly to the IT Director of SAP Global Solutions and support the SAP ECC 6.0 platform that drives the daily business processes of SPX Cooling Tech LLC, a global manufacturer of HVAC equipment.
This role focuses on SAP Finance and Controlling (FI/CO) processes, as well as the integration and support of connected third-party tax and accounts payable applications. The successful incumbent will demonstrate strong technical knowledge, problem-solving ability, and a commitment to continuous improvement in SAP financial systems.
This role encourages innovation and continuously improves efficiency of technical support, monitors advances of technology and competition, and supports global and acquisition-related technical issues in areas of expertise.
What you can expect in this role (Job Responsibilities)
While each day brings new opportunities at SPX, your core responsibilities will be:
SAP Configuration and Technical Expertise
Provide in-depth technical support and configuration of SAP FI/CO modules, ensuring integration with SD, MM, PP, and PS.
Support related applications and processes, including Vertex for tax, Tungsten Automation (formerly Kofax) for invoicing, and Electronic Bank Statements (EBS) uploads.
Ensure compliance with corporate financial policies and procedures.
Project and Application Support
Deliver SAP application support, updates, and troubleshooting through the enterprise IT service desk.
Contribute to project deliverables such as system configuration, testing, documentation, and user training.
Provide post-implementation and ongoing operational support to ensure system reliability and performance.
Financial and Data Management
Support asset accounting, material costing, project results analysis, and cost settlements with SAP.
Assist with data migration and maintenance using LSMW tools to ensure data accuracy and consistency.
Leverage strong Excel and SAP GUI scripting (VBA) skills to improve reporting, automation, and efficiency.
What we are looking for (Required/Ideal Experience, Skills, Education)
We each bring something to the table, and we are looking for someone who has:
Required Experience
Minimum of 5 years of experience with SAP ERP Finance & Controlling (FI/CO) applications
Experience supporting SAP implementations focused on manufacturing and assembly processes
Proven ability to collaborate within large organizations and build partnerships with key business users
Preferred Experience, Knowledge, Skills, and Abilities
Strong understanding of SAP FI/CO integration with SD, MM, PP, and PS modules
Experience working with SAP technical teams including ABAP developers, BASIS administrators, and middleware integration providers (e.g. Boomi)
Ability to lead requirements-gathering workshops and define project scope for finance-related initiatives
Excellent communication skills (both written and verbal), with the ability to convey technical concepts to non-technical audiences
Strong multi-tasking, organization, and time management skills in a dynamic environment
Demonstrated ability to work independently or collaboratively across teams and vendors
Strong skills in Microsoft Excel, Word and PowerPoint
Education & Certifications
Associates or Bachelor's degree in Information Systems, Business, Finance, or related field
SAP Finance/Controlling certification preferred (or equivalent experience)
Travel & Working Environment
Onsite office environment, Monday - Friday; Hybrid work schedule available after satisfactory completion of probationary period
The position may require working occasionally outside normal work hours
Lifting 10-30 pounds
Keyboarding/typing
Ability to read effectively from a computer screen and/or a paper copy
Ability to handle a large volume of work and perform multiples tasks in a fast-paced environment
Ability to communicate effectively verbally
How we live our culture
Our culture is at the center of what we do and, more importantly, who we are. Our core values set a standard for how we manage ourselves, and our Leadership Model sets the standard for how we engage with each other. Whether you are an individual contributor or you lead a large team, each of us leads at SPX.
What benefits do we offer?
We know that the well-being of our employees is integral. Our benefits include:
Generous and flexible paid time off including paid personal time off, caregiver, parental, and volunteer leave
Competitive health insurance plans and 401(k) match, with benefits starting day one
Competitive and performance-based compensation packages and bonus plans
Educational assistance, leadership development programs, and recognition programs
Our commitment to embrace diversity to build a culture of inclusion at SPX
We value different backgrounds, experiences, and voices at SPX, and we are committed to challenging ourselves, openly communicating, and striving to improve every day. We believe in creating an inclusive work environment where everyone has a voice and is encouraged to realize their fullest potential.
SPX is an affirmative action and equal opportunity employer committed to making selection decisions without regard to race, color, religion, sex, sexual orientation or identity, national origin, age, disability, veteran status, or any other legally protected basis.
$50k-67k yearly est. 60d+ ago
Code Compliance Officer I
City of Overland Park, Ks 3.5
Compliance analyst job in Overland Park, KS
The City of Overland Park has a full-time Code Compliance Officer I position available in the Planning & Development Services Department. Inspects residential and nonresidential property and enforces compliance with municipal codes and ordinances related to zoning, public nuisances, property maintenance, public health and environment. Prepares and issues violation notices, notices to appear in Municipal Court, work orders for abatement action by the City, written reports, memos and correspondence. Participates in emergency operations, including snow removal, as required, and other duties as assigned.
DUTIES AND RESPONSIBILITIES:
* Receives, investigates, and inspects alleged violations and enforces local codes, ordinances and state laws related to zoning, public nuisances, property maintenance, public health and environment. Inspects residential rental property for compliance with local ordinances.
* Prepares inspection reports, issues violation notices and takes appropriate action based on findings of inspection/investigation, recommends and assists with posting vacant property. Prepares and issues work orders for abatement action by the City.
* Issues Notice to Appear in Municipal Court. Compiles evidence, consults with Prosecutor's Office regarding legal action and prosecution of violators and may prepare prosecution summaries. Attends and testifies at arraignment and trial.
* Utilizes the City's various computer software applications used on a daily basis for entering daily inspections, scheduling re-inspections, adding complaints and managing pictures and correspondence.
* Inspects and issues permits to massage businesses.
* Meets with Homes Associations and other neighborhood groups when requested to speak on code enforcement and issues related to property maintenance.
* Assists with conducting solid waste vehicle inspections.
* Participates in the emergency management operations for the City, including snow removal, as required. Carries out and/or performs other duties as assigned.
* The employee must work the days and hours necessary to perform all assigned responsibilities and tasks. Must be available (especially during regular business hours or shifts) to communicate with subordinates, supervisors, customers, vendors and any other persons or organization with whom interaction is required to accomplish work and employer goals.
* The employee must be punctual and timely in meeting all requirements of performance, including, but not limited to, attendance standards and work deadlines; beginning and ending assignments on time; and scheduled work breaks, where applicable.
* Must successfully pass a through background check, drug screen and physical exam.
REQUIREMENTS:
* Education equivalent to high school diploma required.
* Additional college-level courses in business correspondence and/or conflict resolution preferred.
* Employees hired after April 15, 2014 must have or obtain a commercial driver's license (CDL) within 12 months of employment with the City and maintain an insurable driving record.
* Must possess a valid have or obtain a commercial driver's license (CDL) within 12 months of employment with the City and maintain an insurable driving record.
EXPERIENCE:
* The preferred candidate will have two years job-related work experience in code enforcement work of any kind or experience in construction, food safety or environmental health.
SKILLS:
* Analytical and research skills.
* Attention to detail.
* Basic math & accounting.
* Computer software skills to process and enter daily work.
* Facilitation.
* Must be able to communicate effectively with managers and supervisors, vendors and the general public.
* Project Management.
* Working knowledge of public sector administration.
* Public Speaking.
* Time Management.
* Good oral and written communication.
* Use of testing and sampling equipment to test chlorine and Ph levels in the pools.
MENTAL REQUIREMENTS:
* Ability to meet deadlines.
* Ability to exhibit diplomacy and judgment.
* Ability to recognize and protect confidential information.
* Ability to prioritize multiple tasks.
* Ability to read and comprehend policies and regulations.
* Ability to read and understand building plans and specifications.
* Ability to carry out assignments from written and oral instruction.
* Ability to work independently.
* Ability to work in a hectic environment with many interruptions.
* Ability to analyze and recommend possible solutions.
* Ability to learn and understand PC software.
* Alpha and numeric recognition.
PHYSICAL REQUIREMENTS:
* Ability to make and receive phone calls.
* Ability to operate and use a City radio.
* Ability to identify and distinguish colors.
* Ability to distinguish smells.
* Ability to operate City vehicles.
* Ability to operate hand tools such as measuring wheel, screwdriver and crowbar.
* Ability to work in confined spaces.
* Hand and eye coordination adequate for computer/typewriter.
* Exposure to chemicals, insects, snakes, rodents, household pets, farm animals, noise, extreme temperatures (outdoor extremes and refrigeration units).
* Exposure to heights, vibrations, high voltage and loud noises.
SUPERVISORY RESPONSIBILITY (Direct & Indirect):
* None
The preceding job description has been designed to indicate the general nature and level of work performed by employees within this classification. It is not designed to contain or be interpreted as a comprehensive inventory of all duties, responsibilities, and qualifications required of employees assigned to this job.
No City residency requirement.
Must successfully pass a background check, drug screen, physical exam and essential functions test.
Normal Work Hours: 8:00 a.m.-5:00 p.m., Mon.-Fri.
Salary Range: Grade C $23.39 - $26.04
Application Deadline: Open until filled
Benefits: Full-time
All applicants must be legally eligible to work in the United States and proof of eligibility must be provided if selected for hire.
EO/M/F/D/V
$37k-48k yearly est. 15d ago
Compliance Specialist
Mainstreet Credit Union 3.3
Compliance analyst job in Lenexa, KS
The Compliance Specialist will assist with ensuring the organization adheres to federal, state, and local laws and regulations. This involves assisting with developing and revising policies, conducting account reviews, monitoring regulatory changes, and assisting with risk management and compliance requests. The Compliance Specialist must have the ability to manage multiple deadlines in a fast-paced environment.
Major Responsibilities
1. Remain aware of and adhere to Credit Union policies and procedures.
2. Conducts compliance testing and analysis and provides summary reports.
3. Assist in monitoring daily, weekly, monthly and quarterly key control reports to ensure compliance with internal policies and procedures.
4. Research and respond to requests from various departments for compliance assistance.
5. Assist in providing recommendations in the creation or revision of forms, disclosures, policies, procedures and marketing material to ensure regulatory compliance.
6. Assist with regulatory monitoring and updates.
7. Assist with performing account reviews as necessary.
8. Maintain good relationships with other departments.
9. Perform other duties as assigned.
Required Qualifications
• Post high school degree or certification, preferred.
• 1-3 years' experience in the financial services industry.
• Previous experience in compliance related activities preferred.
• Strong attention to detail and time management skills.
• Computer skills should include an aptitude in Microsoft Office (Word and Excel).
• Ability to comprehend standard application of credit union policies and procedures.
• Professional demeanor and good judgment
• Ability to interact with other financial institutions, vendors, merchants, outside service providers and credit union members.
• Interact and cooperate with peers and other credit union staff team members on a daily basis.
• Exhibits team building philosophy.
• Displays responsible behaviors outside the credit union which represent Mainstreet Credit Union in a positive light
• Knowledge of Symitar Episys, including exposure to teller, member service and lending procedures is preferred.
$43k-58k yearly est. 8d ago
Compliance Specialist (MO)
St. Jo Frontier Casino
Compliance analyst job in Saint Joseph, MO
Job Description
SUMMARY: The Compliance Specialist supports adherence to state and federal gaming and AML regulations by executing compliance activities under the direction of the Senior Corporate Compliance Manager. This role participates in Title 31/Anti‑Money Laundering audits, Minimum Internal Controls assessments, regulatory recordkeeping, stakeholder engagement with casino operations, and preparation of regulatory and internal reports
ESSENTIAL DUTIES AND RESPONSIBILITIES
Responsible for the daily Title 31 audits to ensure compliance with the Bank Secrecy Act and State regulatory requirements.
Maintenance of the property's Anti-Money Laundering (AML) Title 31 training.
Responsible for filing CTRs and SARs with FinCEN and State Regulators.
Utilize property reports and resources to identify and research potentially suspicious activity submitting Suspicious Activity Incident Reports (SAIRs) for AML related activities to the AML Committee.
Prepare and issue Exception Notices for instances of noncompliance with Title 31 procedures.
Responsible for submitting monthly reports to the Missouri Gaming Commission (MGC).
Responsible for the quarterly submission and maintenance of the property's Internal Controls (ICS) to the Missouri Gaming Commission.
Maintain an organized system of record keeping for all applicable reports and Internal Controls.
Maintain a working knowledge of the regulations and requirements, for both gaming ICS and AML.
Annual non-gaming licensing renewals.
Ability to prioritize projects, adhere to deadlines, work independently, and use critical thinking to analyze data.
Assist property Leadership to ensure regulatory compliance with Missouri ICS.
Review and log reports and directives related to employee regulatory infractions.
Ensure the property is in compliance with all aspects of Responsible Gaming.
Assist the General Manager with property submission for quarterly Compliance Committee meetings.
Other related tasks as assigned by Corporate Compliance or the General Manager.
QUALIFICATIONS
To perform this role successfully, an individual must consistently execute all essential duties with a high level of accuracy, professionalism, and efficiency-particularly in a fast-paced environment where meeting critical deadlines is essential. The qualifications outlined below reflect the knowledge, skills, and abilities required to fulfill the responsibilities of the position effectively. Must be 21 years of age or older.
All Employees must be knowledgeable of all Company policies and procedures, including fire and safety regulations.
EDUCATION and/or EXPERIENCE
Gaming Industry Experience: Prior experience in a gaming environment is strongly preferred.
Regulatory Reporting Background: Experience working in industries subject to State or Federal regulatory oversight, particularly involving compliance reporting, is highly desirable.
Technical Proficiency: Must possess intermediate to advanced proficiency in Microsoft Word and Excel, including the ability to create structured documents, use formulas, pivot tables, and perform data analysis.
CERTIFICATES, LICENSES, REGISTRATIONS
Must be able to obtain and maintain Missouri Gaming Commission Level 2 Occupational License
SUPERVISORY RESPONSIBILITIES
None
The above job analysis is for the sole purpose of complying with the Americans with Disabilities Act and is not to be construed to include all employees employed in each job classification. The Employer reserves the right to change the requirements of each job analysis as changes in business and/or technology dictate. All weights, distances, and measurements cited in this job analysis are approximations.
#ZRHSJ
$46k-70k yearly est. 27d ago
Privacy and Compliance Specialist
Maximus 4.3
Compliance analyst job in Kansas City, KS
Description & Requirements Maximus is currently hiring for a Privacy and Compliance Specialist to support our Arkansas No Wrong Door project. This is a remote position, with travel to Little Rock, AR required as business and/or client needs arise. The Privacy & Compliance Specialist will provide advice on compliance matters, guiding management and staff in maintaining a compliant and confidential operational environment. This position will integrate compliance measures and ensure seamless adherence to privacy protocols. This position is responsible for assessing and enforcing all state and federal mandated privacy policies.
*This position is contingent upon contract award.*
Why Maximus?
Work/Life Balance Support - Flexibility tailored to your needs!
• Competitive Compensation - Bonuses based on performance included!
•Comprehensive Insurance Coverage - Choose from various plans, including Medical, Dental, Vision, Prescription, and partially funded HSA. Additionally, enjoy Life insurance benefits and discounts on Auto, Home, Renter's, and Pet insurance.
• Future Planning - Prepare for retirement with our 401K Retirement Savings plan and Company Matching
• Paid Time Off Package - Enjoy PTO, Holidays, and extended sick leave, along with Short and Long Term Disability coverage.
• Holistic Wellness Support - Access resources for physical, emotional, and financial wellness through our Employee Assistance Program (EAP).
• Recognition Platform - Acknowledge and appreciate outstanding employee contributions.
• Tuition Reimbursement - Invest in your ongoing education and development.
• Employee Perks and Discounts - Additional benefits and discounts exclusively for employees.
• Maximus Wellness Program and Resources - Access a range of wellness programs and resources tailored to your needs.
•Professional Development Opportunities: Participate in training programs, workshops, and conferences.
Essential Duties and Responsibilities:
- Review reported incidents related to potential or actual privacy, security, or data breaches.
- Coordinate the incident or breach management process (as appropriate) with project management, DOH and the corporate Privacy and Data Protection Office.
- Work with project management, DOH and the corporate Privacy and Data Protection Office to develop and disseminate all required notifications of suspected or actual breach of protection of protected health information or personally identifiable information.
- Mentor Privacy Specialists with incident investigations and review privacy reports and deliverables.
- Conduct project related privacy risk assessments and internal audits.
- Review privacy practices and supports periodic compliance audits of sub-contractors and vendors for the project site to assure compliance with contract requirements, quality principles and Business Associate Agreements.
- Manage the collection, analysis and reporting of privacy program data and metrics.
- Develop departmental work instructions and reference materials.
- Develop project privacy and security training and awareness materials.
- Conduct training regarding compliance, privacy, and quality awareness.
- Prepare data in support of regularly scheduled meetings, facilitating as required.
- Support the effectiveness of the quality management system and complies with ISO 9001.
- Support the Compliance Manager with assigned duties and acts as the department's subject matter expert.
- Responsible for maintaining confidentiality in daily tasks.
- Maintain current knowledge of the federal and state rules, regulations, and guidance related to security and privacy including but not limited to HIPAA, HITECH, Federal Exchange regulations (ACA regulations).
- Maintain awareness of corporate and project privacy and security policies and procedures.
- Develop, maintain, document and report on the Contractor's privacy measures.
- Ensure the system complies with all current and future federal and state privacy regulations and standards.
- Conduct audits and implement safeguards to maintain data integrity and confidentiality, specifically in regard to Protected Health Information (PHI) and Personally Identifiable Information (PII).
- Lead initiatives to train contractor and DHS employees, as requested, on compliance requirements and privacy best practices.
- Provides support for external privacy audits. The Privacy & Compliance Specialist position is not required to be onsite; however, the client will require travel to our site in Little Rock, AR for the purpose of training, audits, and/or compliance review.
Minimum Requirements
- Bachelor's degree in relevant field of study and 5+ years of relevant professional experience required, or equivalent combination of education and experience.
- Must possess a minimum of five (5) years of experience managing or in a key management position for a large-scale government human services project, including a minimum of three (3) years of that experience in a Privacy Officer role (or a role of similar scope and responsibility).
- Must have excellent communication skills, writing skills, facilitation skills, and formal presentation skills.
- Must be willing and able to travel to Little Rock, AR as business and/or client needs dictate.
- Preferred Certifications: Certified Health Care Privacy and Security (CHPS), Certified in Cybersecurity (CC), OffSec Certified Professional (OSCP), OffSec Certified Professional Plus (OSCP+), Junior Penetration Tester (PT1), Practical SOC Analyst Associate (PSAA), Practical Web Pentest Associate (PWPA), Practical Web Pentest Professional (PWPP), Practical Junior Penetration Tester (PJPT), Practical Network Penetration Tester (PNPT), Certified Information Privacy Professional (CIPP), or Certified Ethical Hacker (CEH).
Home Office Requirements:
- Internet speed of 20mbps or higher required (you can test this by going to *******************
- Connectivity to the internet via either Wi-Fi or Category 5 or 6 ethernet patch cable to the home router.
- Must currently and permanently reside in the Continental US.
EEO Statement
Maximus is an equal opportunity employer. We evaluate qualified applicants without regard to race, color, religion, sex, age, national origin, disability, veteran status, genetic information and other legally protected characteristics.
Pay Transparency
Maximus compensation is based on various factors including but not limited to job location, a candidate's education, training, experience, expected quality and quantity of work, required travel (if any), external market and internal value analysis including seniority and merit systems, as well as internal pay alignment. Annual salary is just one component of Maximus's total compensation package. Other rewards may include short- and long-term incentives as well as program-specific awards. Additionally, Maximus provides a variety of benefits to employees, including health insurance coverage, life and disability insurance, a retirement savings plan, paid holidays and paid time off. Compensation ranges may differ based on contract value but will be commensurate with job duties and relevant work experience. An applicant's salary history will not be used in determining compensation. Maximus will comply with regulatory minimum wage rates and exempt salary thresholds in all instances.
Accommodations
Maximus provides reasonable accommodations to individuals requiring assistance during any phase of the employment process due to a disability, medical condition, or physical or mental impairment. If you require assistance at any stage of the employment process-including accessing job postings, completing assessments, or participating in interviews,-please contact People Operations at **************************.
Minimum Salary
$
68,900.00
Maximum Salary
$
75,000.00
$40k-59k yearly est. Easy Apply 6d ago
Compliance Specialist
Center for Developmentally Disabled 3.8
Compliance analyst job in Kansas City, KS
Join Our Team as a Compliance Specialist! Full-Time On-Site | Kansas City, MO Starting | Pay: $26.75/Hour
If you're detail-oriented, dependable, and motivated by work that strengthens organizational quality, this opportunity is for you. Join CDD, a Kansas City nonprofit with over 50 years of service, as a Compliance Specialist - supporting the systems that ensure our programs meet internal policies, state and federal regulations, and accreditation standards while partnering closely with the Director of Program Compliance and COO to advance quality, accountability, and agency-wide compliance initiatives.
What You'll Do
Assist in developing, reviewing, and updating compliance policies and procedures.
Conduct random and targeted audits using established checklists (Columbus Group, L&C, CARF, etc.).
Track, document, and report audit findings monthly to the Director of Program Compliance.
Maintain organized and accurate records for audits and reviews.
Provide clear communication to departments regarding compliance updates and best practices.
Support oversight of client file systems to ensure adherence to standards.
Promote a culture of compliance and quality improvement across the agency.
What You'll Bring
Bachelor's Degree required; Master's Degree preferred.
Minimum 3 years' experience in compliance, quality assurance, or a related field.
At least 1 year of experience in human services or developmental disabilities support.
Knowledge of DMH regulations and Service Coordination processes.
Strong attention to detail, database management, and documentation skills.
Ability to interpret complex regulations and communicate findings effectively.
Proficiency with Microsoft Office (Word, Excel, Outlook, Access).
Familiarity with Therap or similar case management systems preferred.
Role at a Glance At CDD, you'll find a team that values collaboration, inclusion, and growth. We offer:
Pay: $26.75/hour
Opportunities for professional development and advancement
Consistent weekday hours (Monday-Friday, 8:00 AM - 4:30 PM)
Work that truly makes a difference in people's lives
Ready to Make a Difference?
If you're passionate about helping others reach their potential, we'd love to meet you.
We are an equal opportunity employer, and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability status, protected veteran status, or any other characteristics protected by law.
About CDD
For over five decades, Center for Developmentally Disabled has helped individuals with developmental disabilities live, work, and thrive independently in their communities. Our mission is to promote dignity, opportunity, and inclusion - and we're looking for compassionate professionals like you to help us continue that work.
Apply today at ********************* and start changing lives tomorrow!
$26.8 hourly 60d+ ago
Fuel Compliance Manager
Seaboardenergyexternal
Compliance analyst job in Merriam, KS
SUMMARY: The Fuel Compliance Manager ensures full compliance with all applicable fuel regulations and sustainability programs, including International Sustainability & Carbon Certification (ISCC), U.S. Renewable Fuel Standard (RFS), and state-level programs such as California's Low Carbon Fuel Standard (LCFS). This role oversees carbon intensity (CI) calculations, manages relationships with external consultants, regulatory agencies, and verification bodies, and ensures accurate tracking of all feedstocks used in fuel production.
RESPONSIBILITIES: include the following. Other duties may be assigned at management's discretion.
Maintain compliance with ISCC, RFS, LCFS, and other relevant international, federal, and state programs.
Monitor regulatory changes and implement necessary updates to internal processes.
Oversee calculation and verification of carbon intensity scores for all fuel products.
Coordinate with external consultants and verification bodies to ensure accurate and timely CI reporting.
Develop and maintain systems for tracking all feedstocks from origin through processing.
Ensure traceability and sustainability documentation meets program requirements.
Prepare for and manage audits related to ISCC, RFS, and LCFS compliance.
Support certificate extensions and scope changes, including documentation and verification.
Compile and submit compliance reports to regulatory agencies and certification bodies.
Maintain accurate records of sustainability declarations, GHG calculations, and chain-of-custody documentation.
Work closely with internal teams (operations, sales, legal, procurement, sustainability) and external partners to ensure compliance objectives are met.
Serve as primary point of contact for certification bodies and regulatory agencies
REQUIREMENTS: To perform this job successfully, an individual must be able to perform each essential duty/function satisfactorily. The requirements listed below are representative of the work environment, knowledge, skills, and/or ability required or preferred. Reasonable accommodation may be provided to enable individuals with disabilities to perform the essential functions listed below.
Bachelor's degree in environmental science, Chemical Engineering, Sustainability, Business, or related field.
Minimum 7-10 years of experience in fuel compliance or regulatory compliance within the energy or biofuels sector.
Proven track record managing compliance for ISCC, RFS, and LCFS programs.
Demonstrates a deep understanding of:
ISCC requirements and certification processes.
Renewable Fuel Standard (RFS) and EPA reporting.
Low Carbon Fuel Standard (LCFS) lifecycle analysis and CI scoring.
Familiarity with GHG calculation methodologies and lifecycle analysis tools (e.g., GREET, BioGrace).
Knowledge of feedstock traceability systems and chain-of-custody requirements.
Strong analytical and problem-solving skills for interpreting complex regulations.
Excellent organizational skills for managing audits, documentation, and reporting deadlines.
Proficiency in compliance management software and data analysis tools (Excel, ERP systems).
Ability to collaborate with internal partners, external consultants, verification bodies, and internal stakeholders.
Experience with certificate extensions, audits, and sustainability declarations.
Professional certifications in sustainability or compliance (e.g., ISCC auditor training, GHG accounting).
PHYSICAL DEMANDS: Lift up to 10 lbs. occasionally.
WORK ENVIRONMENT: Work environment is primarily office-based with no noise hazards.
NORMAL WORK SCHEDULE: Monday through Friday, standard working hours. Occasionally extended hours or changes in schedule will be required as special circumstances arise.
WHY JOIN SEABOARD ENERGY?
Traditional benefits include competitive pay, affordable medical, dental, vision and prescription drug coverage, retirement savings plans for full-time and active employees, flexible spending accounts, life/AD&D insurance, family life insurance and employee assistance program.
Other benefits: career training and advancement, discounted pork products, employee referral bonuses, wellness programs, annual family events and discount programs.
ABOUT SEABOARD ENERGY:
As a Seaboard Corporation company, we work collaboratively with the other Seaboard companies to promote sustainable energy projects, including but not limited to, the production of biodiesel, RNG from biogas, and compressed natural gas.
How much does a compliance analyst earn in Kansas City, MO?
The average compliance analyst in Kansas City, MO earns between $38,000 and $83,000 annually. This compares to the national average compliance analyst range of $39,000 to $87,000.
Average compliance analyst salary in Kansas City, MO
$56,000
What are the biggest employers of Compliance Analysts in Kansas City, MO?
The biggest employers of Compliance Analysts in Kansas City, MO are: