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Governance Risk Compliance Manager Jobs in Kansas

Working knowledge of governance, risk, and controls concepts (internal controls), including process ... Ability to manage multiple deadlines across concurrent projects with competing deadlines * Able to ...

... governance, risk, compliance and legal issues relevant in the industry Skills and Competencies ... management leadership Proficiency in utilizing data for informed decision-making and process ...

Operations Manager

Holton, KS ยท On-site

$70 - $110/hr

Previous experience directly managing people leaders * Proven track record of driving and ... Knowledge of governance, risk, compliance and legal issues relevant in the industry Skills

Showing results 41-60

Governance Risk Compliance Manager information

See Kansas salary details

$34.3K

$84.8K

$140K

How much do governance risk compliance manager jobs pay per year?

As of Sep 7, 2026, the average yearly pay for governance risk compliance manager in Kansas is $84,817.00, according to ZipRecruiter salary data. Most workers in this role earn between $62,400.00 and $103,900.00 per year, depending on experience, location, and employer.

What does a Governance Risk Compliance (GRC) manager do?

A Governance Risk Compliance (GRC) Manager is responsible for developing, implementing, and overseeing policies and procedures to ensure that an organization complies with regulatory requirements and manages risks effectively. They work closely with various departments to identify potential risks, ensure proper governance frameworks are in place, and monitor compliance with relevant laws and standards. GRC Managers play a key role in maintaining ethical practices, preventing legal issues, and helping organizations achieve their business objectives securely and efficiently.

How does a Governance Risk Compliance (GRC) manager typically collaborate with other departments to ensure effective risk management?

A GRC Manager works closely with various departments such as IT, legal, finance, and operations to identify, assess, and mitigate risks across the organization. This often involves facilitating cross-departmental meetings, guiding teams through compliance requirements, and ensuring that controls are implemented effectively. Strong communication and project management skills are essential, as GRC Managers must translate complex regulatory requirements into actionable steps for different teams. This collaborative approach helps ensure that risk management strategies are integrated into daily business processes and that compliance goals are met organization-wide.

What are the key skills and qualifications needed to thrive as a Governance Risk Compliance manager, and why are they important?

To thrive as a Governance Risk Compliance Manager, you need expertise in risk assessment, regulatory frameworks, and compliance management, typically supported by a degree in business, law, or a related field. Familiarity with GRC platforms (like RSA Archer or MetricStream), internal audit tools, and relevant certifications such as CISA, CISM, or CRISC is common. Strong analytical thinking, attention to detail, and effective communication help manage complex regulations and drive organizational compliance culture. These skills ensure the organization can proactively identify risks, comply with legal requirements, and maintain operational integrity.

What is the difference between Governance Risk Compliance Manager vs Compliance Analyst?

AspectGovernance Risk Compliance ManagerCompliance Analyst
CertificationsISO 31000, CRISC, CISACCA, CCEP, or similar
Work EnvironmentStrategic, managerial, policy-focusedOperational, detail-oriented, audit-focused
Employer & Industry UsageFinancial, healthcare, corporate sectorsRegulatory agencies, corporations, consulting firms
Search & Comparison IntentUnderstanding managerial roles in governance and riskDetailing compliance procedures and analysis

The Governance Risk Compliance Manager oversees organizational policies, risk management strategies, and compliance frameworks at a strategic level. In contrast, the Compliance Analyst focuses on implementing and monitoring compliance procedures, conducting audits, and ensuring adherence to regulations. Both roles require relevant certifications and are vital in maintaining organizational integrity, but they differ in scope and responsibilities.

Is governance risk compliance a good career?

A career as a Governance, Risk, and Compliance (GRC) Manager is considered stable and in demand, as organizations seek to manage regulatory requirements, cybersecurity threats, and operational risks. The role often requires knowledge of industry standards, certifications like CISA or CISSP, and strong analytical skills, making it a valuable and growing field in many industries.

What are the most commonly searched types of Governance Risk Compliance jobs in Kansas?

The most popular types of Governance Risk Compliance jobs in Kansas are:

What are popular job titles related to Governance Risk Compliance Manager jobs in Kansas?

For Governance Risk Compliance Manager jobs in Kansas, the most frequently searched job titles are:

What job categories do people searching Governance Risk Compliance Manager jobs in Kansas look for?

The top searched job categories for Governance Risk Compliance Manager jobs in Kansas are:

What cities in Kansas are hiring for Governance Risk Compliance Manager jobs?

Cities in Kansas with the most Governance Risk Compliance Manager job openings:

Sr. Compliance Specialist

Guida's Dairy

Kansas City, KS โ€ข On-site

Full-time

Re-posted 25 days ago


Job description

The Sr. Compliance Specialist is responsible for the facilitation, coordination, and execution of regulatory-related projects (with a current emphasis in privacy) on behalf of DFA's Value Integrity Compliance Program. Work involves diverse and complex tasks across projects, including understanding the applicability and potential impact of certain regulations on DFA, and collaborating with business units to document internal controls, ensure compliance, and mitigate risk.

Job Duties and Responsibilities:

  • Lead cross-functional projects for compliance initiatives (with a current emphasis in privacy) across the organization
  • Collaborate with business units in the development of solutions to limit compliance risk, support risk mitigation plans to completion, and provide guidance to address changes in the regulatory environment
  • Research, evaluate, and respond to unique or unprecedented compliance and regulatory inquiries
  • Navigate ambiguity and incomplete information by identifying the right stakeholders (e.g., business owners, IT, Security, Legal, and outside counsel), facilitating discussions or fact-finding, and documenting outcomes, decisions, and next steps
  • Drive cross-functional execution to meet agreed-upon project milestones and deliverables, including the coordination of dependencies, follow-ups, and escalation of risks/issues
  • Document and/or evaluate processes and corresponding internal controls to ensure compliance with applicable US and international laws, regulations, and policies
  • Evolve and execute the organization's Data Privacy Impact Assessment methodology, and utilize the privacy module within DFA's enterprise-wide solution to capture the results
  • Evolve DFA's Privacy Compliance Program for industry best practices or privacy regulations by updating/creating corporate policies, procedures, guidance, and training materials
  • Operate effectively in an evolving program environment by helping define emerging workstreams, building repeatable processes (e.g., intake/triage, documentation standards, control libraries), and driving continuous improvement as the privacy compliance program matures
  • Help shape the evolution of the program by proposing enhancements to governance, metrics, reporting, and tooling to improve scalability and effectiveness
  • In partnership with Legal, provide education on emerging and existing privacy risks with the business to guide decision making
  • Drive discussions on the creation and implementation of any necessary employee communications related to new or altered privacy regulations
  • Contribute to the organization's Privacy Risk Assessment
  • Partner with DFA's Legal Department from an advisory perspective as it relates to the organization's privacy initiatives
  • The requirements herein are intended to describe the general nature and level of work performed by employee, but is not a complete list of responsibilities, duties and skills required. Other duties may be assigned as required.

Minimum Requirements:

Education and Experience

  • Bachelor's Degree
  • 3+ years of experience in audit, compliance, business process, or related work experience, including program and/or project management experience
  • Experience leading cross-functional project teams with members that are not direct reports

Knowledge, Skills and Abilities

  • Knowledge of and skill with Microsoft Office Suite, specifically Word, Excel, PowerPoint, and Outlook
  • Ability to research and interpret US and international regulations, guidance documents, and laws
  • Working knowledge of governance, risk, and controls concepts (internal controls), including process-level risk assessment, control design, and control effectiveness
  • Comfort operating in ambiguity (including being comfortable not knowing the answer initially) and the organizational savvy to determine where to go, who to engage, and how to obtain information efficiently
  • Ability to build and iterate program components in a developing area, including defining scope, creating standard work, and recommending improvements as needs evolve
  • Strong communication, influence, and facilitation skills to lead cross-functional meetings and working sessions, and drive timely decisions and documentation
  • Demonstrates an approachable, professional demeanor
  • Detail oriented, self-motivated, and able to provide quality deliverables on time
  • Integrity and commitment to the highest ethical standards and personal values, including proven ability to maintain confidentiality
  • Ability to manage multiple deadlines across concurrent projects with competing deadlines
  • Able to multi-task in fast-paced environment and interact effectively to communicate on compliance-related matters
  • Ability to work in a team-oriented environment, as well as work independently with minimum supervision
  • Strong analytical skills to define problems, formulate logical solutions, and make recommendations
  • Demonstrated critical thinking skills and strong attention to detail

Ethics and Compliance Department Value Proposition

  • Department will pay for industry certifications related to your job responsibilities
  • Opportunities for career advancement within the department
  • Collaborative working style within the Department and across the Cooperative
  • Encourages creativity and ideas for process improvement
  • Quarterly department (in person) team building activities
  • Dedicated time for volunteering and community connection
  • Work-life balance
  • Supportive and compassionate co-workers

An Equal Opportunity Employer including Disabled/Veterans