About the job
Who We Are
AuditBoard has achieved remarkable growth, surpassing $300M in Annual Recurring Revenue (ARR) and establishing itself as the premier platform for audit, risk, ESG, and InfoSec solutions. Over 50% of the Fortune 500 companies, including 7 of the Fortune 10, utilize our award-winning technology to drive their businesses with enhanced clarity and agility. Our customers consistently rate us highly on G2.com and Gartner Peer Insights.
We foster a culture of innovation at AuditBoard, where our teams are dedicated to developing solutions that benefit our customers and contribute positively to our communities. Our collaborative spirit has propelled us to be recognized as one of the 500 fastest-growing tech companies in North America for six consecutive years, as ranked by Deloitte!
We are seeking a skilled Compliance Analyst to strengthen our security compliance program's strategic foundations and oversee daily compliance operations. This role will engage with various business areas impacted by compliance and security, including Awareness & Training, Policy Management, Control Testing & Monitoring, Continuity Testing Facilitation, and Compliance Standards Management. A solid understanding of Governance, Risk, and Compliance (GRC) concepts is essential, as this position collaborates across multiple departments.
As a Compliance Analyst, you will interact with our security, IT, engineering, legal, and other cross-functional teams at AuditBoard. You will tackle complex assignments that require professional skepticism, sound judgment, initiative, and a solid grasp of standard SaaS company roles to devise effective solutions.
Reporting to the Director of Information Security Compliance, this position is ideal for someone passionate about developing compliance operational procedures and second-line control testing in a dynamic environment while being an excellent team player.
Key Responsibilities:
Contribute to the maintenance and evolution of the compliance program framework by designing and developing policies, standards, and procedures.
Conduct and facilitate second-line control testing and validation.
Manage compliance operations, including User Access Reviews, Due Diligence Questionnaires, and Issues Management.

