I am a Certified Public Accountant (CPA), Certified Internal Auditor (CIA), MBA graduate, and Fellow, Life Management Institute (FLMI) professional with more than 15 years of experience in internal audit and assurance within the insurance industry.
Throughout my career, I have developed extensive experience in risk-based internal auditing, governance, internal controls, process improvement, and assurance across insurance operations. I have worked with senior stakeholders to identify key risks, evaluate control effectiveness, communicate audit insights, and support sustainable improvements in business processes and risk management.
My areas of expertise include:
• Internal Audit and Risk-Based Audit Planning
• Insurance Operations and Processes
• Governance, Risk and Controls
• Internal Control Evaluation and Testing
• Risk and Control Assessment
• Audit Advisory and Stakeholder Engagement
• Root Cause Analysis and Remediation Monitoring
• Audit Reporting and Senior Management Communication
• Quality Assurance and Continuous Improvement
• Regulatory and Compliance Risk
I bring a combination of deep insurance industry knowledge, strong technical audit expertise, business understanding, and the ability to work independently with geographically dispersed and cross-functional teams.
I am particularly interested in international opportunities involving internal audit, risk management, governance, controls, assurance, GRC, and audit advisory—especially remote or flexible roles where I can contribute to global organizations and bring practical, business-focused insights to complex risk and control environments.
Core credentials:
CPA | CIA | MBA | FLMI
Open to senior individual contributor, advisory, consulting, and management opportunities with international organizations.