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We are seeking an experienced and strategic Group Head, Audit & Internal Controls to lead the Group's Internal Audit and Controls function across a diversified holding company with interests in Steel Manufacturing, Energy, Oil & Gas, and Mining.
Reporting functionally to the Board Audit Committee and administratively to the Group Managing Director/CEO, the successful candidate will provide independent assurance on the effectiveness of governance, risk management, and internal control systems across the Group.
The role will drive a robust control environment, safeguard organizational assets, strengthen regulatory compliance, and provide strategic insight to Executive Management and the Board.
Key Responsibilities
Internal Audit & Controls:
Develop and execute a risk-based Group-wide internal audit strategy and annual audit plan covering the Holding Company and all subsidiaries.
Design, implement, and continuously improve the Group's internal control framework, ensuring the effectiveness of financial, operational, compliance, and IT controls across all businesses.
Establish standardized audit methodologies, control self-assessment programs, and audit practices aligned with the International Professional Practices Framework (IPPF), COSO, and other recognized standards.
Audit, Risk & Compliance Assurance:
Lead financial, operational, compliance, and forensic audits across the Group, evaluating governance, risk management, regulatory compliance, financial reporting, procurement, treasury, capital projects, and operational processes.
Conduct investigations into suspected fraud, financial irregularities, and significant control breaches while ensuring timely implementation of corrective actions.
Partner with Enterprise Risk Management and business leaders to align audit activities with the Group's risk profile, monitor emerging risks, and strengthen the overall control environment.
Governance & Board Reporting:
Prepare and present high-quality audit reports, risk assessments, and internal control updates to the Board Audit Committee and Executive Management.
Maintain the independence and objectivity of the Internal Audit function while coordinating effectively with external auditors, regulators, and subsidiary leadership.
Support governance initiatives by monitoring remediation of audit findings, overseeing whistleblowing investigations relating to financial or operational controls, and promoting best practices across the Group.
Leadership & Continuous Improvement:
Build, lead, and develop a high-performing Internal Audit and Controls team with capabilities across manufacturing, mining, energy, and oil & gas operations.
Strengthen audit capability through coaching, succession planning, specialist resources, and continuous professional development.
Drive continuous improvement initiatives that enhance governance, operational efficiency, compliance, and organizational resilience across all subsidiaries.
Key Performance Indicators (KPIs)
Success in this role will be measured by:
Delivery of the annual risk-based audit plan
Effectiveness of the Group's internal control environment
Timely closure of audit findings and management action plans
Regulatory compliance and governance outcomes
Fraud prevention, detection, and investigation effectiveness
Quality and timeliness of Board Audit Committee reporting
Financial value created through cost savings, recoveries, and risk mitigation
Team capability development and professional certification
Stakeholder satisfaction and audit quality
Qualifications & Experience
Bachelor's degree in Accounting, Finance, Economics, or a related discipline. A Master's degree or MBA is an added advantage.
Minimum of 12–15 years of progressive experience in Internal Audit, External Audit, Internal Controls, or Risk Assurance, including at least 5 years in a senior audit leadership role.
Demonstrated experience leading Group-wide or multi-entity audit functions and reporting directly to a Board Audit Committee.
Experience within a diversified conglomerate or capital-intensive industries such as Mining, Steel Manufacturing, Energy, or Oil & Gas is strongly preferred.
Professional Certifications:
The following qualifications are required or highly desirable:
Certified Information Systems Auditor (CISA) – advantageous
Certified Fraud Examiner (CFE) – advantageous
Relevant certifications in Risk Management, Corporate Governance, or related disciplines will be an added advantage.
Skills & Competencies:
Internal Audit & Assurance
Internal Controls & Corporate Governance
Enterprise Risk Management
Financial & Operational Auditing
Fraud Investigation & Forensic Auditing
Regulatory Compliance
Strategic Leadership
Executive & Board-Level Communication
Stakeholder Management
Analytical & Critical Thinking
Change Management
Integrity, Independence & Professional Judgment
Application Closing Date
8th August, 2026.
Method of Application
Interested and qualified candidates should send their CV to: career.bridgemeadnghr@gmail.com using "Group Head, Audit & Internal Controls" as the subject of the email.