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Remote Anti Corruption Compliance Jobs in Decatur, GA

Director, Tariffs & Customs

Atlanta, GA · On-site +1

$130K - $320K/yr

S. trade compliance requirements, identify duty-saving opportunities, and realize efficiencies in ... anti-dumping/countervailing ("AD/CVD") duties, Section 301/232 tariffs, free trade agreements ...

Our solutions help our customers solve difficult problems in the areas of Anti-Money Laundering ... Help to ensure compliance with regulatory requirements and internal risk management standards. and ...

Remote Anti Corruption Compliance information

See Decatur, GA salary details

$48.8K

$153.8K

How much do remote anti corruption compliance jobs pay per year?

As of Jun 22, 2026, the average yearly pay for remote anti corruption compliance in Decatur, GA is $148,437.00, according to ZipRecruiter salary data. Most workers in this role earn between $153,300.00 and $153,300.00 per year, depending on experience, location, and employer.

What are some common challenges faced by professionals in remote anti-corruption compliance roles, and how can they be addressed?

Remote anti-corruption compliance professionals often encounter challenges such as ensuring effective communication across global teams, maintaining up-to-date knowledge of diverse legal frameworks, and fostering a culture of compliance without in-person interaction. To address these, it's important to leverage robust digital collaboration tools, participate in ongoing training on international regulations, and establish clear reporting and escalation channels. Building strong relationships with local stakeholders and regularly sharing best practices also help reinforce compliance standards in a remote setting.

What is the difference between Remote Anti Corruption Compliance vs Remote Compliance Analyst?

AspectRemote Anti Corruption ComplianceRemote Compliance Analyst
CertificationsFCPA, CIA, CCEPCCA, CCEP, or similar
Work EnvironmentCorporate compliance teams, legal departmentsRegulatory, internal audit, or legal teams
Industry UsageFinance, multinational corporations, governmentVarious industries including finance, healthcare, manufacturing
Search IntentFocus on anti-bribery, corruption preventionBroader compliance responsibilities

Remote Anti Corruption Compliance specialists focus specifically on preventing bribery and corruption, often requiring specific certifications like FCPA or CIA. Remote Compliance Analysts handle a wider range of regulatory compliance tasks across industries. While both roles involve ensuring adherence to laws and policies remotely, Anti Corruption Compliance is more specialized in anti-bribery measures.

What is a Remote Anti Corruption Compliance professional?

A Remote Anti Corruption Compliance professional is responsible for ensuring that an organization adheres to anti-bribery and anti-corruption laws and regulations while working remotely. They develop, implement, and monitor policies designed to detect, prevent, and address corruption and unethical practices, often across different countries and jurisdictions. Their duties may include risk assessments, training employees on compliance, conducting internal investigations, and ensuring that third parties also comply with relevant laws. This role requires a strong understanding of laws such as the Foreign Corrupt Practices Act (FCPA) and the UK Bribery Act, as well as the ability to communicate and enforce policies remotely.

What are the key skills and qualifications needed to thrive as a Remote Anti-Corruption Compliance Specialist, and why are they important?

To thrive as a Remote Anti-Corruption Compliance Specialist, you need a strong understanding of anti-bribery laws, regulatory frameworks, and compliance best practices, typically supported by a degree in law, business, or a related field. Familiarity with compliance management systems, risk assessment tools, and certifications such as Certified Compliance & Ethics Professional (CCEP) are commonly required. Exceptional analytical thinking, attention to detail, and effective communication are crucial soft skills for identifying risks and promoting ethical conduct remotely. Mastery of these skills ensures robust compliance programs, minimizes legal risks, and upholds organizational integrity in a global context.
What job categories do people searching Remote Anti Corruption Compliance jobs in Decatur, GA look for? The top searched job categories for Remote Anti Corruption Compliance jobs in Decatur, GA are:
What cities near Decatur, GA are hiring for Remote Anti Corruption Compliance jobs? Cities near Decatur, GA with the most Remote Anti Corruption Compliance job openings:
Infographic showing various Remote Anti Corruption Compliance job openings in Decatur, GA as of June 2026, with employment types broken down into 67% Full Time, and 33% Part Time. Highlights an 100% Remote job distribution, with an average salary of $148,437 per year, or $71.4 per hour.
Ethics Compliance Officer - Renal Pharma

Ethics Compliance Officer - Renal Pharma

Fresenius Medical Care

Atlanta, GA • On-site, Remote

Full-time

Posted 13 days ago


Fresenius Medical Care rating

6.7

Company rating: 6.7 out of 10

Based on 1,273 frontline employees who took The Breakroom Quiz

525th of 875 rated healthcare providers


Job description

REMOTE: You will be able to work from your home location in United States.
PURPOSE AND SCOPE
Supports Fresenius Medical Care's (FME) mission, vision, core values and customer service philosophy. Adheres to the FME Compliance Program, including following all regulatory and division/company policy requirements.
Responsible for the development, implementation and communication of the FME compliance program. Implements and monitors compliance as it relates to the assigned division and participates as a member of the divisional management team. Responsible for assisting in the development, implementation and ongoing revision of policies and procedures published through the Compliance department, as well as ensuring that existing and new company policies and procedures are consistent with the objectives of the Compliance department. Assists the assigned business in their efforts to comply with all applicable state and federal laws and regulations. Collaborates with Compliance Audit to contribute to projects related to the Compliance Audit, Self-Monitoring, Data Mining and Risk Assessment programs for the assigned division. Acts as the Privacy and Security Officer for the assigned division. Supports the Vice President or Senior Director of Compliance and the Chief Compliance Officer.
PRINCIPAL DUTIES AND RESPONSIBILITIES:
  • Applies a highly advanced knowledge of compliance and a developed understanding of the business of FME and the assigned division to function as a member of the assigned division's management team, working to mitigate the risks that impede the division's goals.
  • Acts as an accessible, visible and available subject matter expert for the business.
  • Establishes a compliance culture as a strategic, competitive advantage.
  • Adapts to and reacts to the needs of a rapidly growing and changing business and understands the complexities of a large organization.
  • Maintains current knowledge of law, regulation, and market changes that impact all aspects of the business including, but not limited to, Stark Law, Anti-Kickback Statute, Patient Inducement Statute, Health Insurance Portability and Accountability Act, relevant Office of Inspector General (OIG) Model Guidance and applicable Advisory Opinions.
  • Works in conjunction with the law department, regulatory and government affairs teams to better understand operational requirements under the law. Assists the business in implementing policies, processes and monitoring systems in an effort to remain compliant.
  • Leads the FME compliance activities within the division to support and enforce the overall Compliance program policies, procedures and standards, and compliance with applicable laws and regulations. Participates in the periodic review and update of FME Compliance program policies, procedures, and training, to ensure continuing relevance in providing guidance to management and employees.
  • Actively participates on the assigned division's Management team to discuss high level issues affecting the business and operations and to act as a resource for the division's management team for all compliance issues.
  • Identifies key risk areas and works with the assigned division to mitigate risk through education, training, policy development and monitoring systems. Responsible for developing, implementing and maintaining relevant compliance training materials.
  • Provides guidance to the assigned division in the development and interpretation of policies and procedures.
  • Participates in the development and review of new business activities and programs.
  • Serves as a resource for employees of the assigned division. Coordinates the resolution of compliance-related issues and concerns with the appropriate staff in a timely manner.
  • Assists the business in the development and implementation of compliance training programs and educational material tailored to the specific needs of the division, consistent with the Corporate Compliance goals. Programs include introductory training for new employees as well as ongoing training as required. Delivers compliance training presentations as necessary, live or via WebEx.
  • Participates in the development of the annual FME compliance plan, including annual compliance plans tailored to the assigned division(s).
  • Acts as the Privacy and Security Officer for the assigned division(s). Works with the FME Privacy and Security Officer in resolving privacy and security issues.
  • Directs or participates in - collaborating with other departments as applicable - the timely closure of Compliance Action Line (CAL) investigations along with other potential compliance issues not reported through the CAL. Responds appropriately to alleged violations of rules, regulations, policies, procedures, and the FME Code of Conduct.
  • Acts as liaison with counterparts in the department that support other assigned divisions regarding compliance concerns across assigned divisions. Assists with coverage of other divisions as needed.
  • Assists with activities related to outside investigations, including but not limited to potential fraud and abuse issues, which could be either general or targeted. Assists external counsel in identifying and reviewing pertinent documents.
  • Participates in activities related to exclusion screening, which applies to new hires, current employees, vendors and providers. Investigates and resolves any potential matches.
  • Participates in activities related to professional licensure lapses and identifies excluded parties to ensure that appropriate employee earnings' paybacks have been determined and collected.
  • Responsible for case management of current or prior compliance initiatives launched in assigned division. Assigns tasks to sub-committees for corrective action plans. Ensures necessary follow-up takes place to resolve open items and that controls are in place to successfully mitigate business and regulatory compliance risks.
  • Provides technical expertise, corrective action planning, and other compliance consultation as needed with respect to the assigned division.
  • Participates in various committees and task forces on a Corporate, divisional and cross-divisional basis, and coordinates and manages compliance projects as required.
  • Participates in the review of compliance due diligence materials in anticipation of potential acquisitions or divestitures.
  • Acts as a compliance liaison with external agencies regarding compliance concerns as they relate to the operations and compliance for the assigned division.
  • Assists with the monthly Corporate Compliance meeting, ensuring high level compliance issues are addressed. May be required to provide presentations on new initiatives, to report on the results of case management, or to schedule speakers.
  • Serves as a member of the assigned division's Donations Committee to monitor that donation requests are appropriate and within FME policy.
  • Provides status updates to the assigned division and Corporate Compliance related to investigations, audit and other identified reportable issues.
  • Adapts to and reacts to the needs of a rapidly growing and changing business.
  • Completes special projects and reports as needed by the VP or Senior Director of Compliance.
  • Other duties as assigned, including department wide projects.

Additional responsibilities may include focus on one or more departments or locations. See applicable addendum for department or location specific functions.
PHYSICAL DEMANDS AND WORKING CONDITIONS:
  • The physical demands and work environment characteristics described here are representative of those an employee encounters while performing the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
  • Travel is expected to be up to 25% of overall work time.

EDUCATION:
  • Bachelor's degree required.
  • Law, MBA or advanced Degree preferred.
  • Professional certification such as State Bar Membership, CHC, CIPP or CHPC is a plus.

EXPERIENCE AND REQUIRED SKILLS:
  • 5 - 8 years' experience in healthcare and/or compliance, or 3 years healthcare and/or compliance experience with a relevant Master's degree.
  • Experience in relevant healthcare field preferred
  • Strong writing skills with specific experience in the areas of developing, implementing and maintaining policies, procedures and training in a healthcare environment.
  • Strong communication, interpersonal and presentation skills, working with both internal and external individuals and entities
  • Ability to motivate, lead and coordinate cross-functional teams of senior management personnel.
  • Analytic and project management, leadership and team building.
  • Strong computer skills, including Excel, Word, and PowerPoint.

Remote Positions:
If your location allows for pay/benefit transparency, please click the link below to request further information on this position.
Pay Transparency Request Form
Fresenius Medical Care maintains a drug-free workplace in accordance with applicable federal and state laws.
Fresenius Medical Care is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sexual orientation, gender identity, parental status, national origin, age, disability, military service, or other non-merit-based factors

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About Fresenius Medical Care

Sourced by ZipRecruiter

We are a Team of more than 70,000 with one guiding Principle Patients First. This promise starts with providing the most comprehensive care for people living with Chronic Kidney Disease and extends to Innovative Solutions that are redefining Healthcare and setting the industry standard. From evolving home Dialysis and Patient education programs to improving patient care to providing World Class Research and Data driven insights. Our vertically integrated network tirelessly seeks new ways to improve the quality of our Patients' lives. We believe each of us can make an impact and together we can change an industry. Our Mission is to Provide Superior care that improves the quality of life of every patient, every day, setting the standard by which others in the Healthcare Industry are judged. And none of us does it alone. We bring together the brightest minds in kidney care to Dream, Research, and Innovate.

Industry

Health care and social assistance

Company size

10,000+ Employees

Headquarters location

Waltham, MA, US

Year founded

1996

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