Sr. Compliance Administrator
On-siteStamford, Connecticut, United States or Providence, Rhode Island, United States
Job Summary
Sr. Compliance Administrator responsible for managing assessments to help develop, implement, and maintain policies and procedures to ensure regulatory compliance. Facilitates project tasks with clients and internal teams, acts as a primary contact for external auditors to manage compliance activities, conduct assessments, and provide technical guidance. Supports policy development and maintenance, risk assessments, audit preparation, and remediation in coordination with clients and the Compliance Team. Requires experience with GRC platforms, policy management, and multiple regulatory frameworks (SOC 2, NIST, HIPAA, CMMC, NYDFS, FINRA, etc.), along with strong communication and project-management skills to drive compliance initiatives and client relationships.
Required Qualifications
- Bachelor’s degree in IT, Compliance, Security, or related field (or equivalent experience)
- 5+ years of experience in compliance, auditing, or IT/security
- Experience with GRC platforms, policy management, and audit processes
- Strong knowledge of frameworks such as SOC 2, NIST, HIPAA, CMMC, and NYDFS
- Ability to communicate effectively with both technical teams and executive stakeholders
- Strong organizational and multitasking skills
- Relevant certifications (CISA, CIPP, CCP, or similar) preferred
- Self-starter with the ability to work independently
- Valid U.S. driver’s license and ability to pass a background check
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