1

Senior Compliance Risk Management Jobs (NOW HIRING)

Director, Compliance Risk

Irvine, CA ยท On-site +1

$145K - $195K/yr

Serve as a senior escalation point for complex compliance issues, providing clear, actionable guidance to business stakeholders. Regulatory Risk Management * Oversee enterprise-wide regulatory risk ...

Director, Compliance Risk

Irvine, CA ยท On-site

$145K - $195K/yr

Serve as a senior escalation point for complex compliance issues, providing clear, actionable guidance to business stakeholders. Regulatory Risk Management * Oversee enterprise-wide regulatory risk ...

Director, Compliance Risk

Teaneck, NJ ยท On-site

$145K - $195K/yr

Serve as a senior escalation point for complex compliance issues, providing clear, actionable guidance to business stakeholders. Regulatory Risk Management * Oversee enterprise-wide regulatory risk ...

Director, Compliance Risk

San Francisco, CA ยท On-site

$145K - $195K/yr

Serve as a senior escalation point for complex compliance issues, providing clear, actionable guidance to business stakeholders. Regulatory Risk Management * Oversee enterprise-wide regulatory risk ...

Director, Compliance Risk

Santa Clara, CA ยท On-site

$145K - $195K/yr

Serve as a senior escalation point for complex compliance issues, providing clear, actionable guidance to business stakeholders. Regulatory Risk Management * Oversee enterprise-wide regulatory risk ...

next page

Showing results 1-20

Senior Compliance Risk Management information

See salary details

$22.5K

$118.3K

$210K

How much do senior compliance risk management jobs pay per year?

As of Jul 17, 2026, the average yearly pay for senior compliance risk management in the United States is $118,258.00, according to ZipRecruiter salary data. Most workers in this role earn between $84,500.00 and $145,000.00 per year, depending on experience, location, and employer.

What is the difference between Senior Compliance Risk Management vs Compliance Analyst?

AspectSenior Compliance Risk ManagementCompliance Analyst
Required CertificationsCRC, CCEP, or similarCRC, CCEP, or similar
Work EnvironmentStrategic, leadership-focused, cross-departmentalOperational, detail-oriented, data analysis
Employer & Industry UsageFinancial, healthcare, corporate sectorsFinancial, healthcare, corporate sectors
Common Search/ComparisonHigher-level responsibilities, strategic planningEntry to mid-level compliance tasks

While both roles require compliance certifications and work within similar industries, Senior Compliance Risk Management focuses on strategic oversight, risk assessment, and leadership. Compliance Analysts handle day-to-day compliance monitoring, data analysis, and reporting. The senior role involves broader responsibilities and decision-making authority, whereas the analyst role is more operational and detail-focused.

What does a Senior Compliance Risk Management professional do?

A Senior Compliance Risk Management professional is responsible for identifying, assessing, and mitigating risks related to regulatory compliance within an organization. They develop, implement, and oversee policies and procedures to ensure the company adheres to laws, regulations, and internal standards. Additionally, they conduct risk assessments, provide training, and report on compliance matters to senior leadership. Their role is crucial in preventing legal issues and maintaining the organization's reputation.

What are the key skills and qualifications needed to thrive as a Senior Compliance Risk Management professional, and why are they important?

To thrive as a Senior Compliance Risk Management professional, expertise in regulatory analysis, risk assessment, and policy development, typically supported by a relevant degree and industry experience, is essential. Familiarity with compliance management systems, data analytics tools, and certifications such as CAMS or CRCM are commonly required. Strong analytical thinking, attention to detail, and effective communication skills help build trust and ensure collaboration across departments. These competencies are critical to proactively identifying, mitigating, and managing compliance risks in a complex regulatory environment.

How does a Senior Compliance Risk Management professional typically collaborate with other departments to ensure effective risk mitigation?

A Senior Compliance Risk Management professional works closely with departments such as legal, operations, and internal audit to identify, assess, and mitigate compliance risks. This usually involves conducting regular risk assessments, developing training programs, and ensuring policies are up-to-date with regulatory changes. Effective communication and cross-functional teamwork are essential, as these professionals often lead or participate in committees, provide guidance on new business initiatives, and facilitate timely responses to compliance issues. Collaboration is key to embedding a culture of compliance throughout the organization.
What cities are hiring for Senior Compliance Risk Management jobs? Cities with the most Senior Compliance Risk Management job openings:
What are the most commonly searched types of Compliance Risk Management jobs? The most popular types of Compliance Risk Management jobs are:
What states have the most Senior Compliance Risk Management jobs? States with the most job openings for Senior Compliance Risk Management jobs include:
Director of Compliance & Risk Management

Director of Compliance & Risk Management

Salud Para la Gente

Watsonville, CA โ€ข On-site

Full-time

Re-posted yesterday


Job description

Description:

The Director of Compliance & Risk Management reports to the Chief Legal and Administrative Officer (CLAO) and serves as the operational leader of Salud Para La Genteโ€™s compliance and risk management function. This role is responsible for the day-to-day management of compliance and risk operations across all clinic sites, directly supervising a compliance team including: the Quality & Compliance Analyst, the Compliance Analyst, and two Compliance Coordinators.


The Director leads implementation of Saludโ€™s compliance program - including HRSA, FTCA, HIPAA, CDPH, CCAH, 340B, and other federal and state regulatory requirements - with a core focus on proactive risk identification and mitigation, potentially compensable event management, sentinel event response, incident reporting, credentialing and privileging, and organizational policies and protocols. This role requires regulatory expertise, practical operational judgment, and the ability to build a culture of safety, accountability, and nonpunitive error reporting across a dynamic, multi-site FQHC.



Duties and Responsibilities:

Compliance Program Oversight

  • Lead day-to-day administration of Saludโ€™s compliance program in accordance with HRSA guidance and all applicable federal, state, and local laws, regulations, and payer requirements; monitor regulatory developments and proactively assess organizational impact, providing timely guidance to the CLAO and operational leadership.
  • Develop and maintain compliance work plans, monitoring calendars, and internal audit schedules; coordinate responses to government audits, health plan audits, subpoenas, and regulatory inquiries; prepare or oversee audit response materials and corrective action plans under the direction of the CLAO.
  • Facilitate Saludโ€™s HRSA FQHC operational site visit preparation; oversee the FTCA deeming application process and ongoing FTCA program compliance, including risk management plan maintenance, quarterly risk assessments, and annual reporting.
  • Ensure compliance with Saludโ€™s 340B program requirements in coordination with financial and clinical operations leadership.


Risk Management & Patient Safety

  • Proactively evaluate areas of organizational risk based on internal assessment and external benchmarking; implement strategies and policies that promote patient, staff, and organizational safety across all sites.
  • Direct the investigation of all potentially compensable events, evaluating each for severity, frequency, and probability of financial loss; promptly escalate potential FTCA or other claims and adverse events to the CLAO appropriate committees, and leadership as required.
  • Lead root cause analysis (RCA) or failure mode and effects analysis (FMEA) reviews of serious occurrences; respond to sentinel events and provide guidance to leadership on management, reporting, and regulatory notification obligations; disseminate lessons learned and ensure follow-through on process improvement plans.
  • Maintain and update the organizational risk dashboard; conduct periodic risk assessments and present findings with recommended action plans to the CLAO and Risk Management Committee.
  • Ensure maximum protection from discovery of all claims materials; coordinate claims investigation and legal defense processes with the CLAO and outside legal counsel; promote a culture of nonpunitive error reporting throughout the organization.


Safety Program & Emergency Management

  • Serve as Safety Officer; co-lead the Safety and Security Committee; oversee safety walkthroughs across all clinic sites, documenting findings and ensuring timely resolution of identified risks.
  • Coordinate Saludโ€™s emergency management program; ensure the Emergency Operations Plan is current, site-specific, and supported by regular staff training on response and recovery procedures at all sites.


Incident & Grievance Management

  • Oversee Saludโ€™s incident and grievance system, ensuring timely intake, triage, investigation, documentation, and resolution of all reported incidents and patient grievances across all sites.
  • Direct the compliance team in incident and grievance trend tracking, root-cause analysis coordination, and corrective action documentation; maintain the incident reporting system and ensure staff access and training across all sites.
  • Report incident and grievance trends - including frequency, severity, and risk patterns - to the Risk Management Committee, Quality Committees, and CLAO as needed and as appropriate.


HIPAA & Privacy Compliance

  • Oversee Saludโ€™s HIPAA Privacy and Security programs, including policy management and workforce training.
  • Lead HIPAA breach investigations under the direction of the CLAO; assess breach severity, coordinate required notifications, and maintain documentation in accordance with federal breach notification requirements.


Credentialing, Privileging & Licensing

  • Provide operational oversight of compliance team members responsible for provider and clinical staff credentialing and privileging; ensure processes comply with HRSA, FTCA, and health plan requirements with timely re-credentialing cycles for all providers and applicable clinical staff.
  • Oversee management of all organizational and clinic licenses across all Salud sites; ensure timely renewals and complete records.


Policies, Protocols & Training

  • Oversee Saludโ€™s policy and procedure program, including policy review cycles, timely updates in collaboration with department leads, and Board of Directors approval processes.
  • Develop and deliver - or oversee delivery of - compliance and risk management training for staff, managers, and contractors across all sites; ensure content reflects current HRSA guidance.


Committee Leadership

  • Lead and facilitate the Risk Management Committee and Safety & Security Committee; develop agendas, compile minutes, track action items, and report to the CLAO; support Board QAQI Committee materials preparation in partnership with the CLAO.
  • Participate in the Quality Committees and other organizational committees as assigned.


Staff Supervision & Development

  • Directly supervise four Compliance team members: Quality & Compliance Analyst, Compliance Analyst, and two Compliance Coordinators; provide clear performance expectations, regular feedback, performance evaluations, and professional development support for each direct report; hold team members accountable to established standards, documentation requirements, and regulatory timelines.
  • Integrate the work of analysts and coordinators to ensure cohesive compliance operations, particularly where incident investigations, policy updates, training needs, and credentialing issues intersect.
  • Foster a team culture of integrity, accountability, continuous learning, and collaborative problem-solving; support onboarding an mentorship of developing staff.
  • Perform other related duties as assigned by the Chief Legal and Administrative Officer.
Requirements:

MINIMUM QUALIFICATIONS:

  • Bachelorโ€™s degree in healthcare administration, public health, law, business, or a related field required.
  • Minimum five (5) years of progressive experience in healthcare compliance, risk management, or a closely related field; experience in a federally qualified health center, community health center, county health agency, or similarly complex regulated healthcare environment strongly preferred.
  • Minimum two (2) years of supervisory or team lead experience, with demonstrated ability to manage staff across multiple functional areas.
  • Experience with potentially compensable event investigation, root-cause analysis, and claims management coordination.
  • Experience managing or participating in credentialing and privileging processes.
  • Excellent written, oral, and interpersonal communication skills; ability to present complex regulatory and risk information clearly to diverse audiences including clinical staff, executives, and governing boards.
  • Highly organized and detail-oriented; demonstrated ability to manage multiple priorities simultaneously across a multi-site organization.
  • Proficiency with Microsoft Office Suite.


PREFERRED QUALIFICATIONS:

  • Masterโ€™s degree in a related field.
  • Bilingual in Spanish and English.