Compliance Manager

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Company: Sempra Infrastructure

Location: Houston, TX 77084

Description:

Primary Purpose
Oversees the strategic development, execution, and management of Sempra Infrastructure's comprehensive compliance program. Ensures effective implementation of policies, procedures, and initiatives that foster a robust culture of compliance, ethical business practices, and regulatory adherence throughout the organization. Proactively mitigates compliance risks while driving operational excellence through a solutions-oriented approach. Manages financial and human resources to optimize performance, aligning compliance efforts with broader business objectives.

Duties and Responsibilities
  • Develops, implements, and oversees a comprehensive enterprise compliance program that aligns with industry best practices, regulatory requirements, and company goals.
  • Provides expert guidance to senior management and business unit leaders, ensuring compliance strategies effectively support business growth while mitigating risk.
  • Leads the design, execution, and continuous improvement of compliance policies, procedures, and initiatives to drive a culture of accountability and integrity
  • Identifies and assesses compliance risks, ensuring seamless integration of compliance requirements into business operations, particularly as the organization expands.
  • Fosters a culture of compliance by developing robust training programs and communication strategies to reinforce ethical business conduct across all levels of the company.
  • Performs other duties as assigned (no more than 5% of duties).


Education
  • Bachelor's Degree in Business Administration, Finance, or Human Resources Management or equivalent experience with good understanding of legal departments and organizations required. Master's degree preferred.

Experience
  • 8 years of professional experience in legal or regulatory affairs or within a compliance function required.
  • Experience managing or supporting operations within a large company or other professional services organization required.
  • 3 years of previous supervisory experience preferred.

Knowledge, Skills and Abilities
  • Understanding of regulatory issues, regulations, and legal terminology.
  • Ability to analyze complex issues.
  • Ability to manage change and work to integrate processes and continuously improve the way the Compliance and Risk department works and uses technology.
  • Demonstrates Initiative, leadership, influence without authority and relationship building.
  • Strong people management skills.
  • Effective communication skills including written and verbal.
  • Problem-solver with demonstrated ability to facilitate discussions between all levels and must be comfortable working with entry level staff to senior executives.
  • Ability to work quickly and efficiently, and under time constraints.

Licenses and Certifications
  • CCEP - Certified Compliance and Ethics Professional preferred.

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