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Regional Compliance Coordinator

ComplianceComplianceFull TimeRemote

Location

United States

Posted

14 days ago

Salary

Not specified

No structured requirement data.

Job Description

This description is a summary of our understanding of the job description. Click on 'Apply' button to find out more.

Role Description

This role offers the opportunity to make a meaningful impact by ensuring regulatory integrity within a mission-driven, highly regulated environment. As a Regional Compliance Coordinator, you will oversee compliance activities across your assigned region, safeguarding adherence to federal and state regulations, contract requirements, and internal standards. You will serve as the go-to expert for compliance guidance, audits, investigations, and corrective action initiatives. Working in a collaborative yet autonomous setting, you will help strengthen processes, mitigate risk, and drive continuous improvement. This home-based position combines independence with cross-functional teamwork, offering both flexibility and professional growth. If you are detail-oriented, analytical, and committed to ethical excellence, this role provides a rewarding platform to make a difference.

  • Monitor federal and state regulations, wage laws, and contract requirements, proactively communicating updates to relevant stakeholders to ensure ongoing compliance.
  • Maintain and manage compliance tracking systems, including alert processes for regulatory changes and required documentation updates.
  • Prepare, validate, and submit regional contract reports in accordance with established deadlines and specifications.
  • Oversee the development, review, and implementation of regional policies and procedures, ensuring alignment with regulatory and organizational standards.
  • Plan, coordinate, and participate in internal audits, documenting findings and overseeing corrective action plans to address identified gaps.
  • Act as the primary liaison during external audits, facilitating documentation requests and resolution processes.
  • Manage Performance Improvement Plans (PIPs) and Corrective Action Plans (CAPs), ensuring timely follow-up and compliance resolution.
  • Investigate incidents related to Fraud, Waste, Abuse, Privacy, HIPAA, and other compliance concerns, recommending preventive and corrective measures.
  • Oversee Criminal Background Check (CBC) reviews and maintain secure compliance records to support audit readiness.
  • Provide compliance training and collaborate with leadership to promote best practices and continuous improvement initiatives.

Qualifications

  • 3–5 years of compliance experience within healthcare, financial services, or another regulated industry.
  • Strong understanding of regulatory frameworks, risk management processes, and audit procedures.
  • Demonstrated experience managing audits, regulatory reporting, and policy implementation.
  • Ability to interpret and apply federal and state regulations, contracts, and internal governance standards.
  • Proficiency with compliance management systems, databases, and Microsoft Office Suite.
  • Excellent organizational and time management skills, with the ability to prioritize effectively under deadlines.
  • Advanced written and verbal communication skills for reporting, policy drafting, and stakeholder correspondence.
  • Strong analytical, problem-solving, and critical-thinking abilities.
  • High level of integrity, discretion, and confidentiality when handling sensitive information.
  • Ability to work independently in a remote environment while collaborating effectively across departments.
  • Associate’s degree in business administration or a related field preferred.

Requirements

  • Remote, home-based work environment with occasional travel as needed.
  • Competitive compensation and comprehensive benefits package.
  • Flexible time-off policy supporting work-life balance.
  • Professional development and career growth opportunities.
  • Collaborative, trust-based team culture that values autonomy and initiative.
  • Inclusive workplace committed to diversity, belonging, and equal opportunity employment.

Job Requirements

  • 3–5 years of compliance experience within healthcare, financial services, or another regulated industry.
  • Strong understanding of regulatory frameworks, risk management processes, and audit procedures.
  • Demonstrated experience managing audits, regulatory reporting, and policy implementation.
  • Ability to interpret and apply federal and state regulations, contracts, and internal governance standards.
  • Proficiency with compliance management systems, databases, and Microsoft Office Suite.
  • Excellent organizational and time management skills, with the ability to prioritize effectively under deadlines.
  • Advanced written and verbal communication skills for reporting, policy drafting, and stakeholder correspondence.
  • Strong analytical, problem-solving, and critical-thinking abilities.
  • High level of integrity, discretion, and confidentiality when handling sensitive information.
  • Ability to work independently in a remote environment while collaborating effectively across departments.
  • Associate’s degree in business administration or a related field preferred.
  • Remote, home-based work environment with occasional travel as needed.
  • Competitive compensation and comprehensive benefits package.
  • Flexible time-off policy supporting work-life balance.
  • Professional development and career growth opportunities.
  • Collaborative, trust-based team culture that values autonomy and initiative.
  • Inclusive workplace committed to diversity, belonging, and equal opportunity employment.

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