The Regulatory Compliance Office facilitates communication and education designed to ensure that the District, staff, and community are aware and informed of pertinent laws, regulations and institutional policies.
Workforce safety is our number one core value. All M&O employees are expected and encouraged to participate in safety and health program activities including the following: reporting hazards, unsafe work practices, and accidents immediately to their supervisors; wearing required personal protective equipment; and participating in and supporting safety committee activities.
Hours: 8 a.m.-4:30 p.m. | Main Phone: (907) 348-5111; Fax: (907) 348-5256
Location: 1301 Labar Street Anchorage, Alaska 99515
- Prevent, detect, and respond to issues of noncompliance.
- Serve as a resource for guidance about compliance in Local, State and Federal regulatory issues.
- Ensure the organization meets its regulatory and contractual obligations.
- Create and maintain a culture of openness and trust that engages the employees and Safety is understood as a shared responsibility.
How do we do it?
Working towards compliance is a mutual communication process in which both our customers and our staff work together to form the most effective methods to achieve and maintain regulatory compliance.
Whom do we do it for?
The Regulatory Compliance Office provides guidance to Schools and Departments on issues related to institutional compliance and monitors the implementation of internal controls and quality assurance processes to consistently meet requirements of the laws and regulations.
What values are we bringing?
Consistent and strategic leadership in which leaders demonstrate an uncompromised commitment to safety.