Senior Risk Partner- Compliance Officer

This job is responsible for planning, designing, implementing, and maintaining the Compliance Program and its related policies to ensure the business acts within the parameters of federal and state laws, regulations, and regulatory guidance.

The incumbent is also responsible for the administration, interpretation, and enforcement of the Compliance Program including auditing/monitoring operational processes, conducting or overseeing compliance investigations, and ensuring that adequate training takes place under the Compliance Program.

In this capacity, the incumbent is responsible for the collaborative and iterative development of the risk and compliance plan for these entities across all areas in the enterprise risk taxonomy.

Through matrixed leadership with Risk Operations and with support from Risk Enablement, the incumbent monitors and tracks the delivery of risk activities, including but not limited to internal and external audit progress, recurring risk and compliance reporting, mandated training, investigations, and the impacts of new and changing laws, regulations, and contractual relationships.

The incumbent must have extensive knowledge of the applicable federal and state rules as well as a solid working knowledge of managed care operations, compliance program structures, information security and audit methodologies.

The incumbent must also have a foundational understanding of privacy regulations, including in-depth knowledge of HIPAA and possess the ability to perform a privacy risk assessment.

The incumbent must have the highest level of integrity and ethics and demonstrate professional representation of the company.

ESSENTIAL RESPONSIBILITIES Matrixed working relationship with Risk Operations and Strategic Risk Partner to define the development, implementation and maintenance of an effective compliance and risk management program for the supported entities.

This includes, but is not limited to education and training requirements, reporting and intake protocols, monitoring and implementation of new or changing regulatory requirements, risk assessment and audit execution, risk treatment plans, policy and procedure maintenance, response and investigation procedures and compliance expectations.

Acts as a thought partner and advisor to business leaders to ensure business decisions are managed according to the enterprise risk strategy / framework.

Participates in and understands the business operations and strategy.

Serves as a single point of contact for the business’ risks, compliance, privacy and security needs, and partners closely with legal counsel on all efforts.

Provide proactive guidance, education, and information to senior management, so that leaders remain informed and aware of risks, requirements, mitigation strategies, and management’s responsibilities.

Leads and participates in discussions or presentations to existing Compliance or Risk Committees and the Audit & Compliance Committee meetings of the Board.

Gathers data and prepares reports for senior management and Board of Directors as needed.

Ensure reporting obligations are met.

Participates on various risk committees and may represent their entity when appropriate.

Informs business of risk related activity for that BU, ensures awareness and monitors execution.

Tracks, monitors and reports on risk operations for the assigned Business Unit (BU) using the standard metrics and reporting created by risk enablement.

Through understanding of the business strategy, proactively identifies and addresses risk in partnership with the risk operations and legal functions, and the business leaders.

Serves as a single point of contact to respond and intake risk from the senior leadership team, and follows protocol to triage.

Participate in the development and implementation of the enterprise’s risk strategy for effective risk and compliance program governance; intended to strategically and proactively mitigate risk, and promptly detect and correct instances of non-compliance.

This includes but is not limited to formal risk assessment processes and the development and implementation of an annual audit plan.

Liaise with external regulators or enforcement bodies interacting with the assigned BU per defined communication and legal protocols.

Ensure completion of all education and training initiatives and requirements and identify priorities for focus for the accountable entities.

Respond to reports of real or potential instances of non-compliance, including coordination and facilitation of internal investigations including the analysis of facts, recommendations for resolution, risk treatment and corrective action plans.

Work with legal counsel to ensure timely notice or disclosure of incidents or issues as appropriate/required.

Ensure all reported matters are addressed in a timely and responsible manner in compliance with corporate policy, state and federal law and best practices.

Maintain a strong working knowledge of the regulatory landscape.

Other duties as assigned or requested.

EDUCATION Required Bachelors Degree in Business, Finance, Health Administration, Public Health, Public Administration, Legal, Accounting or Related Field Preferred Masters Degree in Business, Finance, Health Administration, Public Health, Public Administration, Legal, Accounting or Related Field EXPERIENCE Required 7 years in compliance, privacy, government affairs, healthcare operations, risk, audit, or legal functions 5 years in a management or leadership role Preferred 10 years in compliance, privacy, government affairs, healthcare operations, risk, audit, or legal functions 5 years in Healthcare Compliance or Privacy LICENSES or CERTIFICATIONS Preferred (Any of the Following) Certified Public Accountant (CPA) Certified Internal Auditor (CIA) Certified Fraud Examiner (CFE) Certified Healthcare Constructor (CHC) Certified Compliance and Ethics Professional (CCEP) SKILLS Broad-based business knowledge as well as in-depth knowledge of the insurance industry, strategic compliance planning, regulatory concerns, compliance requirements, and corporate integrity principles.

Excellent oral, written, and presentation skills, as well as conceptual and analytic skills in order to review and articulate corporate objectives and regulations across all relevant audiences.

High-level of skill in leading interdepartmental and cross-functional strategy development.

Experience with managed care, Medicare and federal and/or state regulations, quality improvement and compliance oversight.

The ability to comprehend and interpret regulatory, legislative, and contractual mandates.

Experience managing multiple projects and managing professional staff on numerous projects to ensure corporate deadlines and objectives are met.

The utmost integrity in the discreet and confidential handling of confidential materials is necessary Travel Requirement: 0% – 25%

Related Post