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Sempra

Regulatory Affairs & Compliance Senior I

Posted Updated
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Primary Purpose
Develops regulatory positions, drafts complex filings, and leads cross-functional coordination for compliance initiatives. Strengthens strategic outcomes by ensuring submissions meet regulatory standards and advance organizational interests.

Duties and Responsibilities
  • Develops positions and drafts complex filings (new registrations, significant variations, rate cases with customer impact models); structures arguments and evidence for approval.
  • Coordinates cross‑functional evidence packages (quality systems, testing, safety, customer impact) and aligns timelines to regulator milestones.
  • Advises on compliance for growth initiatives (new product lines, acquisitions, market entries); outlines regulatory pathways, risks, and mitigations.
  • Leads root‑cause reviews after audit or inspection findings; designs corrective and preventive actions that address system causes.
  • Represents the organization in technical committees or industry forums; explains compliance rationale and proposed policy outcomes.
  • Crafts well‑supported responses to deficiency letters or data requests; negotiates realistic timelines and commitments.
  • Leads small improvement projects (submission quality improvements, labeling claim libraries, change‑control enhancements) with measurable outcomes.
  • Mentors junior staff on drafting techniques, regulator engagement, and evidence building.
  • Performs other duties as assigned.

See also

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