Intermediate (2-5 years of experience)
Summary of the Role
The Policy Compliance Auditor is responsible for examining and analyzing company policies and procedures to ensure that all departments and employees are in compliance with internal and external regulations. This role involves conducting audits, reporting findings, and providing recommendations for improvement.
Required Skills
Excellent analytical and critical thinking skills.
Strong attention to detail and accuracy.
Proficient in the use of audit software and office productivity tools.
Effective communication and interpersonal skills.
Ability to handle confidential information with discretion.
Proactive and able to work independently as well as part of a team.
Strong organizational and time-management skills.
Ability to interpret and apply laws, regulations, and policies.
Qualifications
Bachelor's degree in Business Administration, Law, Finance, or a related field.
Minimum 2 years of experience in compliance audit, risk management, or a similar role.
Familiarity with industry standards and regulations, such as SOX, GDPR, and ISO.
Certification in auditing or compliance such as CIA, CPA, or CISA is preferred.
Strong understanding of audit methodologies and risk assessment practices.
Responsibilities
Conduct regular and ad-hoc policy compliance audits across various departments.
Evaluate the effectiveness of compliance programs and recommend enhancements.
Identify areas of potential risk and non-compliance and advise on mitigation strategies.
Prepare detailed audit reports and present findings to management.
Work with department heads to develop and implement corrective action plans.
Ensure that audit findings are followed up on and remediated in a timely manner.
Stay abreast of regulatory changes and updates that may affect company policies.
Facilitate training and workshops to educate staff on compliance requirements and standards.