Compliance Manager

ACCRA Management Group LLC

Minnetonka (MN)

On-site

USD 90,000 - 130,000

Full time

3 days ago
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Benefits offered by this job

Generous PTO
Mental health support
401(k) retirement plan
Medical, dental and vision coverage
Professional development
Annual bonus eligibility

Job summary

ACCRA Management Group LLC seeks a Compliance Manager to lead Accra’s compliance program, ensuring timely regulatory responses, risk mitigation, and strong governance across the organization.

The role oversees investigations, audits, and policy updates, partnering with leaders to embed compliance into daily operations while advancing workforce development and a robust risk-management culture.

Qualifications

  • Bachelor’s degree and five years of related experience or equivalent.
  • Healthcare compliance certification preferred.
  • Five+ years of compliance, regulatory, audit, risk management, or operations experience; leadership preferred.
  • Experience implementing or optimizing systems, workflows, dashboards, or project-management processes.
  • Ability to understand and discern between various levels of risk.
  • Proficiency with Microsoft Office and Accra systems.

Responsibilities

  • Own intake, assignment, tracking, escalation, and completion of regulatory requests, audits, investigations, and corrective action plans.
  • Coordinate responses with government officials, legal counsel, operating leaders, and other stakeholders as needed.
  • Ensure regulatory submissions and documentation are accurate and timely.
  • Direct and oversee investigations; ensure timely resolution and reporting.
  • Conduct internal audits to verify compliance with program requirements and standards.
  • Lead implementation and ongoing improvement of compliance tools and initiatives.
  • Develop and maintain a formal risk assessment and mitigation process with ownership and action plans.
  • Design workflows, dashboards, and reporting to improve audit readiness and decision-making.
  • Identify emerging compliance risks and advise leadership on mitigation options.
  • Develop and update policies, training, and monitoring activities with business leaders.
  • Lead and coach compliance staff; set performance expectations.

Skills

Regulatory compliance
Investigations
Leadership
Risk management
Project management
Stakeholder communication
MS Office

Education

Bachelor’s degree
Healthcare compliance certification (CHC/CHPC/CHRC)

Tools

MS Office

Job description

Description

At Accra, our mission is to improve lives by providing individualized homecare services and support to people living at home. We foster an environment where every employee is respected, celebrated, and encouraged to bring their whole self to work.

Why Work at Accra?

Accra offers a comprehensive benefits package designed to support your personal well-being, professional growth, and financial future:

  • Work/Life Balance: Schedules designed to help you thrive.
  • Generous PTO: Including an additional paid day dedicated to self-care and a separate paid day for community volunteering.
  • Mental Health Support: Free wellbeing programs.
  • Smart Financial Options: HSA & FSA plans to help you plan ahead.
  • Secure Your Future: 401(k) retirement plan to invest in tomorrow.
  • Comprehensive Benefits: Medical, dental, and vision coverage for full-time employees.
  • Professional Development: Training and growth opportunities to advance your career.
  • Bonus Eligible: This position is eligible for a performance-based annual bonus.
About This Role:

The Compliance Manager leads the day-to-day execution and continuous improvement of Accra's compliance program. This role ensures timely, accurate, and well-documented responses to regulatory obligations; strengthens risk identification and mitigation; leads key compliance initiatives; and develops a high-performing compliance team. The Compliance Manager is a trusted advisor to leaders, translating regulatory requirements and risk insights into practical, scalable actions that protect clients, the organization, and its programs.

What You Will Do:
Regulatory compliance and investigations
  • Own the intake, assignment, tracking, escalation, and completion of regulatory requests, audits, investigations, corrective action plans, and documentation requests.
  • Serve as the primary liaison for regulatory investigations and coordinate responses with government officials, legal counsel, operational leaders, and other stakeholders as needed.
  • Ensure regulatory submissions and supporting documentation are accurate, complete, and delivered within required timelines.
  • Direct and oversee incident, grievance, HIPAA, and other compliance investigations; ensure timely resolution, appropriate documentation, and required reporting.
  • Conduct and coordinate periodic internal audits to verify compliance with applicable program requirements, organizational policies, and regulatory standards.
Program modernization and risk management
  • Lead implementation, adoption, governance, and ongoing improvement of compliance tools and strategic initiatives.
  • Develop and maintain a formal compliance risk assessment and mitigation process, including risk registers, ownership, action plans, escalation paths, and follow-up monitoring.
  • Design practical workflows, dashboards, and reporting mechanisms that improve audit readiness, accountability, visibility, and decision-making.
  • Identify emerging compliance risks, analyze trends, and recommend mitigation options and decision points to executive leadership.
  • Develop, update, and operationalize compliance policies, procedures, training, and monitoring activities in collaboration with business leaders.
Leadership and Partnership
  • Lead, coach, develop, and evaluate compliance staff; set clear expectations, performance measures, and accountability for results.
  • Define team roles and improve processes to eliminate unclear ownership, duplicative work, and reliance on manual or email-driven coordination.
  • Provide monthly compliance reporting to executive leadership, including trends, investigations, incidents, risks, corrective actions, and progress against key initiatives.
  • Advise leaders and staff on compliance concerns, misuse of services, suspected fraud, privacy matters, and other regulatory questions with sound judgment and a solutions-oriented approach.
  • Support vendor-management activities and other enterprise initiatives that require compliance input or oversight.
  • Maintain current knowledge of applicable federal, state, and local laws, regulations, and industry guidance relevant to home and community-based healthcare services.
  • Perform other duties consistent with the role as assigned.
Requirements
  • Bachelor's degree and five years of related experience or equivalent combination of education/experience required.
  • Healthcare compliance certification, such as CHC, CHPC, CHRC, or comparable credential, preferred.
  • Five or more years of progressive compliance, regulatory, audit, risk management, or operations experience required; leadership experience preferred.
  • Experience implementing or optimizing systems, workflows, dashboards, or project-management processes.
  • Ability to understand and discern between various levels of risk.
  • Intermediate computer proficiency, including the use of internal office and organizational software (such as Microsoft Office), and the ability to quickly learn and gain proficiency with Accra specific systems.
  • Strong creativity, critical thinking, and effective problem solving skills.
  • Ability to organize and prioritize work effectively while maintaining a high level of professionalism, confidentiality, and discretion.
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