Serve as the chief legal advisor to the CEO, executive leadership team, and Board of Directors on all material legal, regulatory, and risk-related matters.
Own enterprise legal risk management for a multi-state healthcare MSO, including identification, assessment, mitigation, and escalation of legal and regulatory risk.
Oversee healthcare regulatory compliance, including Corporate Practice of Medicine (CPOM), Stark Law, Anti-Kickback Statute, HIPAA, state privacy laws, and related federal and state healthcare regulations.
Provide legal leadership on MSO–practice structures, management services agreements, and affiliated entity arrangements to ensure regulatory defensibility and operational clarity.
Lead and oversee the corporate compliance function; the Compliance Officer reports directly into the General Counsel.
Develop, maintain, and continuously improve ARC’s compliance framework, policies, training, monitoring, and audit readiness processes.
Advise leadership on regulatory inquiries, audits, investigations, and corrective action planning.
Provide legal oversight for commercial real estate matters, including leases, amendments, renewals, terminations, landlord negotiations, and build-out risk management.
Draft, review, and negotiate a broad range of corporate and commercial agreements, including vendor, technology, professional services, and management services agreements.
Oversee corporate governance, including entity formation and maintenance, operating agreements, resolutions, written consents, compliance calendars, and corporate recordkeeping.
Support Board and committee governance, fiduciary guidance, and preparation of Board-level legal and risk materials.
Manage litigation strategy and dispute resolution in coordination with outside counsel and insurers, including oversight of legal spend and case strategy.
Partner cross-functionally with Finance, Operations, IT, and Compliance to provide practical, business-oriented legal guidance.
Establish scalable legal templates, playbooks, and decision frameworks to support growth while maintaining compliance and risk discipline.
Requirements
Juris Doctor (JD) from an accredited law school.
Active bar admission and good standing in at least one U.S. jurisdiction.
10+ years of progressively responsible legal experience.
Deep experience in healthcare law and regulatory compliance within a multi-state environment.
Demonstrated expertise in MSO or similar management services structures and CPOM risk management.
Strong background in corporate governance, entity management, and general corporate legal matters.
Meaningful commercial real estate transactional experience.
Proven ability to lead enterprise risk management and compliance functions.
Experience managing and directing outside counsel and advisors.
Ability to translate complex legal and regulatory issues into clear, actionable business guidance.
Executive presence and comfort advising senior leadership, boards, and private equity sponsors.
Strong judgment, discretion, and ethical standards.
Benefits
Performance Incentive: up to 25% annual bonus opportunity
401(k) retirement plan with employer match up to 4%
Unlimited PTO
Comprehensive medical, dental, and vision insurance for employees and eligible dependents
HSA (with employer contribution) and FSA options to help manage healthcare and dependent care expenses
Employer-paid life insurance and AD&D coverage
Employee Assistance Program (EAP) with confidential mental health and life support resources