Business & Operations
Operations, strategy, finance, sales, support, management, and planning
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Showing 9,385–9,408 of 29,737 skills
Drafts a comprehensive data privacy compliance policy manual and gap analysis for a digital health company operating under overlapping healthcare-privacy obligations, addressing biometric privacy laws, consumer health data statutes, advertising SDK data sharing, and implementation deadlines.
Drafts a corrective action response to an FDA warning letter that addresses each cited observation, identifies the applicable device and facility identifiers, and lays out observation-sequenced remediation steps and timelines.
Drafts a CIA implementation plan and board resolution package that maps each CIA obligation to a timeline, addresses chief compliance officer qualification and independence requirements, and includes multi-period staffing and budget projections for review.
Drafts a corporate-integrity-agreement-compliant comprehensive employee compliance training manual that identifies and resolves cross-document errors, covers whistleblower anti-retaliation, foreign anti-corruption, government pricing, and contractor obligations, with role-differentiated modules.
Drafts a clinical trial agreement harmonizing sponsor and site positions on biospecimen use, publication mechanics, CRO involvement, debarment representations, and data-lock timing, with a companion memo identifying cross-document conflicts and recommended compromises.
Compares a vendor cloud infrastructure proposal against internal procurement requirements and related security or compliance addenda to identify financial, technical, legal, and regulatory gaps, then organizes the differences into a negotiation-focused gap analysis.
Conducts an element-by-element privacy-rule gap analysis of a privacy notice and related privacy policy, addressing marketing authorization concepts, dual compliance-role obligations, and data-sharing agreement coverage gaps.
Analyzes multiple payor contracts against a benchmark report on a contract-by-contract basis to identify rate deviations, structural adverse terms, and acquisition-relevant provisions with quantified financial impact.
Compares a closing certificate against merger agreement pre-closing covenants and supporting documents to identify false certifications, unauthorized actions, and timing failures through a structured closing-analysis workflow.
Reviews a counterparty's redline of a merger agreement against the initial draft and related deal materials to identify compounded risk interactions, representation issues, and asymmetric risk allocation with term-sheet deviation analysis.
Reviews a site’s redline of a sponsor clinical trial agreement against a negotiation playbook to classify changes by risk level and recommend negotiating positions, with attention to intellectual property, indemnification, insurance, audit rights, publication, assignment, and program-wide precedent effects.
Identifies structural and documentary gaps in a healthcare data privacy compliance program using incident records, vendor tracking, audit findings, and governance minutes to produce a remediation-focused memorandum.
Review a Form ADV Part 2A brochure against supporting records and produce an issues memo organized by Item number with severity ratings, regulatory basis citations, and remediation recommendations with timelines for each deficiency.
Review an LP comment package and accompanying LPA markup, then produce a GP counsel response memo that includes a summary matrix, comment-by-comment responses with accept/modify/reject decisions, precedent-based analysis where relevant, and an appendix cross-referencing comments to the applicable LPA sections.
Draft counsel responses to an LP comment memo on a fund agreement, completing the response column with a clear accept/partial-accept/reject decision, a concise rationale, and proposed revised language for each accepted or partially accepted comment.
Review a registered investment adviser's compliance manual against applicable regulatory requirements and supporting materials, then produce an issues memo identifying regulatory and operational deficiencies, with severity ratings and remediation recommendations for each issue identified.
Review a private equity fund LPA from an LP investor's perspective and produce an issues memo with severity ratings and negotiation recommendations for provisions that deviate from market standard or the LP's investment guidelines.
Review subscription documents for a large institutional investor and produce a comprehensive issues memo for the fund sponsor identifying material legal, regulatory, and commercial concerns before the investor is admitted as a limited partner.
Review a limited partnership interest transfer agreement as counsel to the fund or general partner and produce an issues memo identifying material concerns and consent conditions by comparing the transfer documents against the governing partnership agreement, related side arrangements, portfolio-company information, and capital account or comparable transfer-supporting records.
Review a draft investment advisory agreement on behalf of an investor client and produce an issues memo identifying material deficiencies, with severity ratings, legal authority citations, and recommended resolutions for each issue.
Review a Form ADV Part 2A brochure against supporting compliance and fund documents and produce a findings memo organized by item number with severity ratings and remediation recommendations for each identified deficiency.
Extract all reporting obligations from an investment advisory agreement and companion documents into a consolidated reporting obligation matrix, and identify structural and compliance issues including sequencing dependencies, deadline ambiguities, and gaps between the adviser's ongoing obligations and the agreement's periodic reporting cadence.
Extract and cross-reference key terms from subscription documents and a related summary into a standardized term extraction report, flagging inconsistencies across documents and capturing the operative language and regulatory characterization required for each investor representation.
Draft a seller-protective transfer agreement for a secondary market sale of a fund interest, incorporating protections and closing mechanics drawn from the governing fund documents, related side letters, consent materials, and capital account records.