Laura Rossi
Innovative Strategic Partner
New York
NY, WDNY
About
Laura's… read more experience includes 30 years in compliance, it is a major part of her practice. She is counsel for several startup companies. Estate planning/asset protection is key in her practice for individuals and businesses. Many of her clients have been with her since the beginning of her practice. Laura offers in-house counsel, compliance and consulting services.
experience
Practice Areas
Client Reviews
"Laura has done an excellent job of keeping pace with major regulatory changes affecting her clients and is an extremely diligent, thorough, and conscientious worker. I am confident Laura would be an asset to any organization."
"Chris Porter Laura has done an excellent job of keeping pace with major regulatory changes affecting her clients and is an extremely diligent, thorough, and conscientious worker. I am confident Laura would be an asset to any organization."
Work History
Law Office Laura Tulyk-Rossi
Principal
Sep 2004 - Present
• Develop compliance programs to meet regulatory requirements, serve as outsource CCO and In-House Counsel
• Advise start-up organizations and businesses on compliance, privacy/security, mergers, acquisitions, formation, regulatory matters, at national and international level.
• Draft corporate documents, agreements, and contracts.
• Estate planning and Business Succession
Business consulting
Uniform Data System for Medical Rehabilitation
Inhouse Corporate Counsel/General Counsel
Jan 2021 - Mar 2022
International technology company specializing in data analysis in the healthcare and rehabilitation field. Managed legal and outside counsel.
• Negotiated, drafted, and reviewed domestic and international contracts including software technology, intellectual property license, and service contracts.
• Managed compliance, contract, and data privacy/security matters.
• Represented company in merger.
Independent Health Association
Chief/Corporate Compliance Officer
Jan 2008 - Apr 2013
Developed a proactive strategic Corporate Compliance and Ethics and Data Privacy Program through partnership, trust, communication and changing perception of compliance.
• Oversaw and responded to regulatory investigations and audits for BA, subsidiaries and corporate.
• Evaluated regulatory requirements for business risk; reported solutions to Board.
SME for projects and expansion on compliance.
BCBS WNY
Regulatory Compliance Auditor/Specialist
Sep 2003 - Sep 2005
Developed compliance testing and annual audit plan, audit methodologies, and process controls. Advised business units and executive team on relevant regulatory matters and trends. Evaluated regulations to determine business impact and potential risk.
• Developed HIPAA privacy/security policies, and audit methodology.
• Conducted compliance audits.
• Responded to regulatory agency's requests.
Metropolitan Life
Compliance/legal
Jan 1994 - Jun 1997
IP, Government Relations, Health, Corporate - areas
•Ensured compliance with regulations for multi-state health plans.
•Drafted contracts, agreements, corporate documents, and IP applications.
•Researched and analyzed domestic and international requirements on various topics for business risk and impact.
•Interacted with and responded to state and federal regulatory agencies prepared filings.