Compliance Officer
Company: ActivStyle
Location: Saint Paul
Posted on: February 13, 2026
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Job Description:
Job Description Job Description ???? Ready to make a real
difference in people’s lives? ActivStyle is seeking compassionate,
driven individuals to join our team—where purpose meets
professionalism. As a trusted provider of home-delivered medical
supplies, we empower our clients to live with dignity,
independence, and comfort. ActivStyle is seeking an experienced and
forward?thinking Chief Compliance Officer to lead our compliance
strategy and ensure adherence to all regulatory, legal, and ethical
standards in our St. Paul, MN office . This executive position
plays a vital role in shaping the organization’s compliance
framework, safeguarding organizational integrity, and supporting
long?term operational excellence. If you’re passionate about
helping others and thrive in a supportive, mission-driven
environment, we’d love to welcome you to the ActivStyle family.
Position Summary: The Compliance Officer of ActivStyle, LLC,
provides direction and oversight of the Compliance Program. The
Compliance Officer is responsible for identifying and assessing
areas of compliance risk for the company; communicating the
importance of the Compliance Program to the Board of Directors;
preparing and distributing the written Code of Conduct, setting
forth the ethical principles and policies which are the basis of
the Compliance Program; developing and implementing education
programs addressing compliance and the Code of Conduct;
implementing a retaliation-free internal reporting process,
including an anonymous telephone reporting system; and
collaborating with executive management to effectively incorporate
the Compliance Program within system operations and programs and to
carry out the responsibilities of the position. Essential Functions
and Job Responsibilities: Ensuring that the Compliance Program is
designed to effectively prevent and/or detect violations of law,
regulations, organization policies or the Code of Conduct.
Regularly reviewing the Compliance Program and recommending
appropriate revisions and modifications, including advising
administrative leadership and the Board of Directors of potential
compliance risk areas. Coordinating resources to ensure the ongoing
effectiveness of the Compliance Program. Implementing and operating
retaliation-free reporting channels, including an anonymous
telephone reporting system available to all employees, contractors
and affiliated entities. Developing educational programs for all
employees, agents, affiliated providers, contractors or others
working with the company. Ensuring that the internal controls are
capable of preventing and detecting significant instances or
patterns of illegal, unethical or improper conduct by employees,
agents, contractors, affiliated providers or others working with
the company. Ensuring that the system has effective mechanisms to
reasonably determine that persons either promoted to or hired in
management and certain other sensitive and/or responsible positions
do not have a propensity to violate federal or state laws and
regulations or engage in improper or unethical conduct in their
designated areas of responsibility. Providing input and/or
direction to Human Resources policies and procedures and the
performance appraisal and incentive programs to ensure that
improper conduct is discouraged and that support of any conformity
with the Compliance Program is part of any performance evaluation
process for all employees. Coordinating as appropriate with outside
legal counsel, conducting or authorizing and overseeing
investigations of matters that merit investigation under the
Compliance Program. Overseeing follow-up and, as applicable,
resolution to investigations and other issues generated by the
Compliance Program, including development of corrective action
plans, as needed. Tracking all issues referred to the compliance
office. Developing productive working relationships with all levels
of the organization. Presenting periodic reports on the Compliance
Program to the Board of Directors, as requested. Developing and
implementing, with approval of executive compliance committee and
the Board, an annual review of an update to the Compliance Plan.
Reporting on a regular basis to the compliance committee on matters
involving the Compliance Program. Additionally, the Compliance
Officer at his/her discretion is expected to regularly report
issues to the CEO and Board of Directors. Working with
administrative leadership to provide adequate information to staff
to ensure that they have the requisite information and knowledge of
regulatory issues and requirements to carry out their
responsibilities in a lawful and ethical manner. Ensuring that all
contracts contain language which is corporately compliant.
Representing the Executive and Functional Leader Compliance
Committees, including developing appropriate agendas, reports, and
information as directed from by the committees. Performing other
duties as assigned by the CEO. Principal Duties: Oversee,
coordinate, and monitor the day-to-day compliance activities of the
business. In consultation with legal counsel, establish a company
compliance manual including compliance policies appropriate and
relevant to the operation of the business. Maintain and supplement
the manual as necessary. Develop and coordinate appropriate
compliance training and education programs for all employees.
Ensure and understand the company’s commitment to comply with all
laws, regulations, company policies and ethical requirements
applicable to the conduct of the business. Assess the need for
additional training and education and develop appropriate
risk-specific compliance programs. Develop, coordinate, and/or
oversee internal and external audit procedures for the purpose of
monitoring and detecting any misconduct or noncompliance. If any
misconduct or noncompliance is detected, recommend a solution, and
follow up to ensure that the recommendations have been implemented.
Formalize, monitor and maintain a system to enable employees and
others who work for the company to report any noncompliance without
fear of retribution, ensuring that the reporting system is
adequately publicized and that allegations of noncompliance are
investigated and responded to promptly. In consultation with the
Human Resources Department, help ensure that there is a mechanism
in place for disciplining instances of noncompliance (including the
failure to prevent, detect or repot any noncompliance), appropriate
to the nature and extent of the deviation, and ensure consistency
in the application of disciplinary action. Work with the Huan
Resources Department to ensure a work force with high ethical
standards, including the establishment of minimum standards for
conducing appropriate background and reference checks on potential
employees. In conjunction with legal counsel, interface and, when
appropriate, negotiate with external regulatory agencies. Chair the
Functional Leaders Compliance Committee at its regular meetings, or
as otherwise necessary, and report to the Executive Compliance
Committee on any significant compliance issues to ensure
appropriate discussion of such compliance issues and to ensure that
appropriate action is taken. Carry out all duties and
responsibilities as assigned by the Executive Compliance Committee.
Competency, Skills and Abilities: In-depth knowledge of Medicare,
Medicaid, and private payer reimbursement policies. Strong
understanding of HME/DME compliance, accreditation, and regulatory
requirements. Excellent strategic and operational leadership
skills. Exceptional communication, negotiation, and
relationship-building skills. Education and Experience
Requirements: Bachelor’s degree in business, healthcare
administration, or related field required; Master’s degree (MBA,
MHA, or equivalent) strongly preferred with experience in
healthcare compliance and specific knowledge of fraud and abuse and
Medicare/Medicaid and other healthcare payer issues. 2 years of
experience leading the compliance function of a healthcare entity
or the healthcare division of a company Experience in dealing with
compliance issues and concerns. Experience dealing with licensing,
accreditation and regulatory matters applicable to healthcare
organizations; DME company experience preferred. Strong influencing
skills and perseverance in investigating. Physical Demands and Work
Environment: Must be able to bend, stoop, stretch, stand, and sit
for extended periods of time Subject to long periods of sitting and
exposure to computer screen Ability to perform repetitive motions
of wrists, hands, and/or fingers due to extensive computer use Must
be able to lift 30 pounds as needed Excellent ability to
communicate both verbally and in writing Ability to effectively
communicate both verbally and written with internal and external
customers with the ability to demonstrate empathy, compassion,
courtesy, and respect for privacy. This position requires travel
within the United States approximately 15–20% of the time to
support compliance activities, audits, and training initiatives.
This role may be performed remotely; however, remote work
arrangements are subject to review and may be modified at the
discretion of the Chief Executive Officer based on business needs.
Amazing Benefits At A Glance: Team Driven and Values Based Culture
Medical, Dental, and Vision Benefits Paid Time Off (PTO), Holiday
Pay, Sick and Safe Time for Applicable States Employee Assistance
Program Career Growth Opportunities 401(k) and Generous Employer
Match Opportunity The pay range for this position is $165,000
-185,000 annually At ActivStyle we don’t just accept difference -
we celebrate it, we support it, and we thrive on it for the benefit
of our team and our community. We are proud to be an equal
opportunity workplace and an affirmative action employer. This
employer participates in E-Verify. Following acceptance of any job
offer, at the start of employment the employer will provide the
federal government Form I-9 information to confirm that you are
authorized to work in the U.S. If E-Verify is unable to verify your
eligibility for employment this employer will provide written
instructions to provide an opportunity to contact the appropriate
agencies and resolve the discrepancy prior to taking any action
against continued employment.
Keywords: ActivStyle, St. Paul , Compliance Officer, Human Resources , Saint Paul, Minnesota