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Group Internal Auditor – Compliance Jobs

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A career as a Group Internal Auditor specializing in Compliance offers a unique and impactful vantage point at the heart of modern corporate governance. These professionals act as independent, objective assurance and consulting experts, designed to add value and improve an organization's operations. Their core mission is to help the organization accomplish its objectives by bringing a systematic, disciplined approach to evaluate and improve the effectiveness of risk management, control, and governance processes, with a laser focus on compliance risks. For individuals seeking challenging and dynamic Group Internal Auditor – Compliance jobs, this role represents a critical fusion of regulatory expertise, analytical rigor, and strategic advisory. Typically, professionals in this field are responsible for planning, executing, and reporting on audit engagements that assess the organization's adherence to laws, regulations, internal policies, and ethical standards. Common responsibilities include developing risk-based audit plans, conducting interviews and process walkthroughs, testing the design and operating effectiveness of key controls, and documenting work in accordance with professional standards. A significant part of the role involves preparing clear, concise audit reports that communicate findings, risks, and practical recommendations to senior management and audit committees. Furthermore, they often support the broader internal audit function on cross-functional reviews covering areas like finance, operations, and IT, providing a holistic view of organizational risk. They also play a key role in monitoring the implementation of agreed-upon action plans to rectify identified issues. To excel in Group Internal Auditor – Compliance jobs, a specific blend of skills and experience is required. Typically, employers seek candidates with several years of experience in internal audit, compliance monitoring, or risk management, often within a regulated industry. A deep understanding of compliance principles and familiarity with major regulatory frameworks (such as anti-money laundering, data protection, market conduct, or financial regulations) is fundamental. Essential skills include strong analytical and critical thinking abilities to assess complex processes, impeccable attention to detail for control testing, and outstanding written and verbal communication skills to articulate findings effectively. A proactive, curious mindset and a continuous appetite for learning are crucial, given the ever-evolving regulatory landscape. The role also demands strong project management, time management, and the ability to work both independently and collaboratively within a team. Willingness to travel periodically for on-site audit work at various group locations is a common requirement for these global-facing jobs. Ultimately, this profession is ideal for detail-oriented problem-solvers who are passionate about integrity, governance, and contributing to an organization's long-term resilience and ethical standing.

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