Quality Compliance Management — M2
QUALIT.QUALITYC75F8.M2
Management of quality compliance operations within the Quality Management System (QMS) — supervising the people, processes and documentation that ensure products and processes conform to ISO 9001/13485, FDA QSR (21 CFR Part 820/Part 11) and global regulatory frameworks. Distinct from product/process quality engineering (which owns design controls and test method development) and from regulatory affairs submissions (which owns registrations/filings); this focus centers on QMS upkeep, audits, CAPA, non-conformance investigation and compliance reporting through line management.
Management of quality compliance operations within the Quality Management System (QMS) — supervising the people, processes and documentation that ensure products and processes conform to ISO 9001/13485, FDA QSR (21 CFR Part 820/Part 11) and global regulatory frameworks. Distinct from product/process quality engineering (which owns design controls and test method development) and from regulatory affairs submissions (which owns registrations/filings); this focus centers on QMS upkeep, audits, CAPA, non-conformance investigation and compliance reporting through line management.
Focus — Quality Compliance Management
Management of quality compliance operations within the Quality Management System (QMS) — supervising the people, processes and documentation that ensure products and processes conform to ISO 9001/13485, FDA QSR (21 CFR Part 820/Part 11) and global regulatory frameworks. Distinct from product/process quality engineering (which owns design controls and test method development) and from regulatory affairs submissions (which owns registrations/filings); this focus centers on QMS upkeep, audits, CAPA, non-conformance investigation and compliance reporting through line management.
Material PAY and SKILL differential vs the function baseline.
Responsibilities by level
What this person actually does at each level on the management track — escalating scope, not one generic blob. Your level is highlighted.
- Supervises a unit of compliance specialists/analysts maintaining QMS elements — SOPs, work instructions and controlled documents — to ensure day-to-day conformance with ISO standards and company policy
- Oversees the maintenance of compliance documentation including complaints received, investigation outcomes and audit records, assigning and checking the team's work
- Ensures appropriate compliance reports are filed with regulatory agencies accurately and on schedule by the team
- Reviews compliance data analysis prepared by analysts, validating trend interpretations before they are escalated
- Provides front-line coaching to specialists on quality standards, controlled document practices and data integrity expectations within eQMS tools
- Manages a skilled team of compliance specialists and/or junior compliance managers, owning tactical outcomes for QMS maintenance and audit readiness within known regulatory factors
- Identifies compliance issues requiring follow-up and directs the internal investigation of non-conformances to closure
- Oversees internal and supplier audits, coordinating audit closure and verification of corrective actions across the team's portfolio
- Drives CAPA execution — assigning root cause analysis (5 Whys, Ishikawa, 8D) and verifying effectiveness — for issues surfaced within the unit
- Coordinates cross-functionally with manufacturing and engineering peers to address recurring non-compliance issues and to standardize quality practices
- Manages the quality compliance department or function, owning operational performance and the compliance budget while evaluating diverse trends across complaint, audit and CAPA data
- Develops and implements quality compliance strategies and quality control measures to ensure products and processes meet ISO 13485 / FDA QSR standards
- Leads functional and customer-facing teams during regulatory inspections and customer audits, managing complex CAPA and recall activities
- Prepares and presents quality compliance reports, risk assessments and metrics to senior management, recommending corrective programs
- Establishes department training programs and guidance on quality standards, regulatory requirements and electronic records management across LIMS/ERP/MES/eQMS
- Manages multiple compliance sections or critical Quality Systems functions, aligning compliance strategy with business objectives where gaps could jeopardize product release or market access
- Provides management and tactical direction for global Quality Systems and Compliance, establishing policies to ensure compliance with FDA and EU Medical Device Directives and other applicable global requirements
- Oversees risk management posture across the compliance organization, using FMEA/HACCP-based methods to prioritize and mitigate enterprise product and process risk
- Supports and leads major regulatory inspections (FDA, notified body), owning the most complex CAPA, recall and field-action decisions and their escalation
- Engages senior leaders on functional compliance strategy, securing investment for quality systems improvements and shaping cross-departmental compliance accountability
Level guidelines
The universal leveling rubric applied to this function — how scope, complexity, collaboration, and experience step up across levels.
| Level | Knowledge & Application | Complexity & Problem Solving | Collaboration & Interaction | Typical Degree & Years |
|---|---|---|---|---|
| M1 | Functional expert in QMS documentation control and ISO 9001/13485 requirements; applies established compliance practices to supervise routine unit work. | Limited scope; resolves day-to-day documentation, filing and data-recording issues using established SOPs and known practices. | Daily interactions with compliance staff and immediate peers; communicates status and routine issues upward. | Functional/QMS expert with some leadership exposure; typically 3+ yrs in quality compliance plus initial supervisory responsibility. |
| M2 | Applies regulatory knowledge (FDA QSR, ISO 13485, Part 11) and formal investigation/CAPA methods to direct a skilled team's tactical outcomes. | Exercises judgment within known regulatory factors; investigates non-conformances and resolves audit findings where root cause is not yet established. | Cross-functional cooperation with manufacturing, engineering and supplier-facing teams to close compliance gaps. | 2–5 yrs in team leadership or specialist quality roles with audit and CAPA ownership. |
| M3 | Applies broad QMS and global regulatory knowledge to set department strategy, quality controls and inspection readiness across diverse issues. | Evaluates diverse compliance issues and trends across complaint/audit/CAPA data; designs control measures and manages complex CAPA and recall activity. | Leads functional and customer/regulator-facing teams; presents to senior management and hosts inspectors. | 5–7+ yrs managing quality compliance professionals and operating budgets. |
| M4 | Applies strategic compliance policy expertise across global regulatory regimes (FDA, EU MDD/MDR) to align multiple sections with business objectives. | Addresses high-stakes problems that could jeopardize release or market access; sets risk posture and adjudicates complex field actions and inspection outcomes. | Engages senior leaders on functional compliance strategy and leads major regulatory inspections across the organization. | 8–10+ yrs with complex multi-team/multi-section quality and compliance leadership. |
Skills
Focus-specific skills the role applies — the relevance layer beyond the occupational base.
- Regulatory frameworks knowledge
- Fluency in standards such as ISO 9001/13485, FDA QSR, 21 CFR Part 11, GMP/GxP principles, AS 9100, IATF 16949 and global regulatory frameworks.
- Auditing
- Planning, executing and reporting internal, supplier and regulatory audits with proven ability to manage audit closure.
- CAPA management
- Managing corrective and preventive actions, root cause analysis and verification of effectiveness using formal methodologies; a regulatory requirement under FDA 21 CFR Part 820, ISO 9001 and GMP.
- Root cause analysis
- Identifying underlying causes using methods such as 5 Whys, Ishikawa diagrams, and 8D frameworks.
- Risk management methods
- Using FMEA, HACCP or similar tools to evaluate and mitigate product and process risks.
- Statistical analysis and process capability
- Using SPC, Six Sigma tools and Minitab or equivalent to analyze trends and support improvement.
- Data integrity and electronic records management
- Maintaining data integrity and quality of electronic records across LIMS, ERP, MES and eQMS tools.
- Strategy and alignment
- Aligning compliance strategies with company objectives and shaping enterprise-wide risk posture.
Provenance
The evidence base behind this profile — every layer is sourced; quality is scored by an adversarial review panel (1–5; passes at ≥4 on the minimum dimension).
Level — M2 — Manager II
Manages an established team or sub-function; owns planning and performance for the group.
- Scope
- An established team or sub-function
- Autonomy
- Owns planning for the group
- Complexity
- Cross-project coordination and priorities
- Impact
- Group delivery and development
- Decision rights
- Owns staffing, priorities, performance for the group
- Leadership
- Manages a team; sometimes manages leads
- Typical experience
- 5–8 yrs
Adjacent roles
Nearest roles by structural coordinates (level + taxonomy). Distance 0 → 1; each carries its 3-state match band. How coordinates work → · Compare side-by-side →
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O*NET / SOC
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