Description
Compliance & Audit Readiness Services
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Regulatory Framework Assessment – Evaluates compliance with key standards such as ISO, GDPR, HIPAA, PCI DSS, and NIST.
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Gap Analysis & Risk Identification – Identifies areas of non-compliance or weak controls that could lead to audit failures.
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Policy & Procedure Development – Creates and updates security and governance policies to align with regulatory requirements.
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Compliance Roadmap & Strategy – Defines a structured plan to achieve and maintain compliance efficiently.
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Control Implementation & Validation – Designs and implements technical and administrative controls to meet compliance criteria.
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Audit Preparation & Support – Assists in collecting documentation, evidence, and reports required for external or internal audits.
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Continuous Compliance Monitoring – Uses automated tools to track compliance status and detect deviations in real time.
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Training & Awareness Programs – Educates employees on compliance responsibilities and best practices.
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Data Protection & Privacy Compliance – Ensures proper handling, encryption, and storage of sensitive information.
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Third-Party Vendor Risk Management – Evaluates vendors and partners for compliance risks and contractual obligations.
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Documentation & Evidence Management – Maintains comprehensive records to support audit readiness and accountability.
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Audit Simulation & Testing – Conducts mock audits to test preparedness and improve outcomes in real assessments.
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Regulatory Reporting Assistance – Prepares reports and submissions required by governing authorities.
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Continuous Improvement Process – Regularly reviews and enhances compliance controls based on audit findings and regulatory changes.
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Cross-Industry Support – Provides compliance readiness for multiple sectors including finance, healthcare, retail, and government.

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