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This is an expanded and strategically important role. Formerly with a predominantly anti-bribery and corruption focus, the Head of Compliance MA Americas now carries a broader mandate — reflecting Ericsson's commitment to a more holistic, forward-looking approach to integrity, compliance and risk management across the business. The role encompasses the full spectrum of ethics and compliance risk: anti-bribery and corruption, antitrust and competition, anti-money laundering, human rights, anti-fraud, anti-terrorism, reputational risk, and beyond. The role holder will proactively identifying emerging threats, regulatory developments, and business environment changes that could impact the organisation, and work with the business to ensure risks are owned and addressed promptly. This role will play a key part in enabling business leaders to own and manage risk as a driver of sustainable success. As Head of Compliance MA Americas, you will lead a team of compliance and risk professionals in a dynamic and exciting region. You will serve a diverse set of business and organizational units across the Market Area, partnering with business stakeholders to embed Ericsson's Ethics and Compliance program, enable genuine business ownership of risk, and drive accountability for compliance and sound risk management throughout the organization. Ericsson's Compliance Office, under the leadership of the Chief Compliance Officer, has responsibility for all components of Ericsson's Ethics and Compliance Program. The program covers compliance with our Code of Business Ethics and spans the broad range of subject matters —anti-fraud, anti-bribery and corruption, anti-terrorism, antitrust and competition, anti-money laundering, human rights, sanctions and export controls, plus the identification and management of emerging and reputational risks. You will report to the Chief Compliance Officer and have a dotted-line reporting relationship to the Market Area Head of Legal, sitting on both the Compliance Office Leadership Team and the Market Area Legal Leadership Team. This dual positioning ensures you are closely connected to both the global compliance agenda and the strategic priorities of the Market Area, enabling you to translate group-wide standards into locally relevant, business-enabling actions. You will collaborate closely with GFLA and other assurance colleagues on matters such as training and communication initiatives, risk assessments, third-party due diligence and monitoring, investigations and implementing remediation arising out of investigations. You will prepare analyses and report to stakeholders about the effectiveness of the ethics, integrity and compliance program and the state of risk across the Market Area. In this exciting role, you will lead and ensure the development of a diverse team of Compliance and Risk Officers, setting expectations, managing performance, and fostering a culture where every team member is empowered to enable the business to succeed — with integrity. You will guide them in partnering with business stakeholders to make sound judgments, implement the compliance program, and support effective, business-owned risk management throughout the Market Area. The role will preferably be based in Plano, Texas, but will also be open to candidates in Washington, DC.
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Job Type
Full-time
Career Level
Senior
Education Level
Associate degree
Number of Employees
5,001-10,000 employees

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