Compliance Testing & Investigations Manager
TAQA (Industrialization & Energy Services Company)
Al Khobar, Eastern Province, Saudi Arabia · മുഴുവൻ സമയവും
അപേക്ഷിക്കുന്ന ആദ്യയാളാകൂ
- അനുഭവം
- 10–12 yrs
- ശമ്പളം
- —
- ഓപ്പണിംഗുകൾ
- 1
- പോസ്റ്റ് ചെയ്തു
- 2 മണിക്കൂർ മുമ്പ്
- പ്രവർത്തന രീതി
- ഓഫീസിൽ
- വിദ്യാഭ്യാസം
- ബാച്ചിലേഴ്സ് ഡിഗ്രി
- യോഗ്യത
- Experienced compliance professionals with a relevant bachelor’s degree and 10–12 years of hands-on compliance investigation experience. Candidates with GRCP or CFE certification, and those familiar with case management tools such as NAVEX, are preferred.
- പുനരാരംഭിക്കുക
- അപേക്ഷിക്കാൻ നിർബന്ധം
നിങ്ങൾ എവിടെ ജോലി ചെയ്യും
ജോലി വിവരണം
Role overview
TAQA is seeking a Compliance Testing & Investigations Manager to independently lead whistleblower investigations and compliance testing activities across the organization. The position is focused on maintaining objectivity, neutrality, and a strong evidence-based approach while identifying non-compliance and assessing whether controls are working effectively. Reporting to the Group Compliance Director, this role supports a stronger ethical culture, better compliance control, and greater transparency and accountability.
Key responsibilities
This role covers corporate whistleblower investigations, compliance testing, cross-functional coordination, process control, operational excellence, continuous improvement, change management, and people leadership.
- Investigate allegations of misconduct or non-compliance received through official and unofficial whistleblower channels.
- Build investigation plans covering scope, interview preparation, document review, and evidence collection.
- Preserve strict confidentiality and remain neutral throughout each case.
- Interview stakeholders such as leadership members, witnesses, and accused individuals in a professional and impartial manner.
- Examine records, communications, system data, and related documents to identify, extract, and safeguard evidence.
- Assess facts to determine root causes, responsible parties, and any control or process breakdowns.
- Draft clear, structured investigation reports with findings, conclusions, and practical recommendations.
- Escalate sensitive, high-risk, or unresolved matters according to internal escalation procedures.
- Maintain a complete audit trail of investigation activity using approved templates or case management systems.
- Share investigation outcomes with the Group Ethics Panel.
- Carry out compliance testing according to plans and scopes set by the Group Compliance Director, Group leadership, and Audit Committee requirements.
- Perform walkthroughs, sample testing, and control checks to assess compliance with policies, procedures, and regulatory obligations.
- Record findings objectively, including instances of non-compliance and process weaknesses.
- Recommend realistic remediation steps based on risk and business impact.
- Monitor corrective actions and follow up on implementation, escalating delays or repeat issues when required.
- Keep testing workpapers and supporting files well organized and transparent.
- Work with Legal, GRC, Internal Audit, and other stakeholders to resolve findings appropriately.
- Support additional compliance and GRC activities or initiatives assigned by the Group Compliance Director.
- Support modification, automation, and implementation of process controls to improve standardization, optimization, and day-to-day efficiency.
- Follow departmental policies, processes, and procedures to ensure controlled and consistent execution of work.
- Use resources efficiently to minimize waste and unnecessary cost.
- Act as custodian of QA&QC policies, procedures, and manuals, ensuring consistent adherence.
- Implement approved policies and procedures to deliver high-quality service in a controlled manner.
- Ensure adherence to the Management of Change process by securing approvals and informing relevant stakeholders before procedural changes.
- Maintain compliance with the quality management system to meet client requirements and support satisfaction.
- Suggest and, once approved, implement improvements to systems and processes based on market trends, industry practices, and economic analysis.
- Share ideas to simplify workflows and improve efficiency across the organization.
- Spot opportunities for continuous improvement aligned with the Group’s mission, vision, and strategy.
- Encourage team involvement in improvement initiatives and organizational development.
- Adapt to change and take part in change initiatives, programs, and projects aligned with international best practice and market shifts.
- Support subordinates and help identify opportunities to participate in change programs.
- Organize and supervise direct reports so work is completed to the required standard and in line with operating policies.
- Provide on-the-job coaching and constructive feedback to support team development.
- Oversee staff performance management, hiring, training, and development to maintain engagement and capability.
Requirements
- A bachelor’s degree from a reputable university is required.
- Ten to twelve years of practical experience in leading or overseeing compliance investigations is required.
- Professional certifications such as GRCP or CFE are preferred.
- Experience with investigation or case management tools, such as NAVEX, is considered an advantage.
- Knowledge of compliance testing documentation standards is beneficial.
- Strong ability to conduct impartial investigations and preserve confidentiality.
- Solid capability in evidence review, interviewing, root-cause analysis, and report writing.
- Ability to coordinate across Legal, GRC, Internal Audit, and other internal teams.
- Capability to guide, supervise, and develop direct reports.
Additional information
This position is based in Al Khobar, Eastern Province, Saudi Arabia, and is a full-time onsite role. The compensation details were not provided. There are no stated vacancy counts, start date, or application deadline in the source information.
Policies, systems, and process expectations
- Follow all relevant departmental policies, processes, and procedures to ensure work is completed in a controlled and consistent way.
- Use company resources in a cost-conscious manner to reduce waste and unnecessary expenses.
- Ensure adherence to Management of Change requirements before making any pre-planned or procedural changes.
- Maintain standards aligned with the organization’s quality management system.
Leadership and team management
- Supervise direct reports and ensure deliverables meet required standards.
- Provide coaching, feedback, and development support to team members.
- Support recruitment, performance management, training, and engagement activities for department staff.
Eligibility
Applications are suited to experienced compliance professionals with a relevant bachelor’s degree and substantial hands-on investigation leadership experience. Candidates with GRCP or CFE credentials, or exposure to NAVEX and similar tools, will have an advantage.