Guidelines for Performing Fraud Risk Assessment and How to Conduct an Internal Fraud Investigation

Duration: 90 Minutes
This webinar will explain key components of a fraud risk assessment and management program. Attendees will learn best practices for conducting an internal fraud investigation.
Fraud Detection
Instructor: Marna Steuart
Product ID: 501209
Objectives of the Presentation
  • Key components of a fraud risk assessment and management program
  • The template for a fraud risk assessment and examples of typical fraud schemes
  • How the template ties with Sarbanes Oxley Controls
  • Brainstorming your industry and the unique types of frauds that can occur
  • Confidential investigation guidelines
  • The proper steps to conduct an internal investigation
  • Commonly asked questions of a respondent
Why Should you Attend
Internal fraud investigations can cause a lot of stress for an auditor, but simply following a set of guidelines can help to assure that the proper sequence of events occurs during the investigation process. It can sometimes determine the success or failure of an internal investigation. This webinar will discuss the guidelines for performing a fraud risk assessment. It will explain the various steps for conducting an internal investigation.

Who can Benefit
  • Internal Audit Personnel involved in fraud related activities
  • Internal Audit Management interested in performing a fraud risk assessment
  • Internal Investigators
  • Risk/Compliance Officer
  • CEOs and Senior Management Officials of small to mid-size firm
  • Staff with roles and responsibilities in compliance departments
  • Staff with roles and responsibilities in risk assessment departments
Topic Background
According to the Association of Certified Fraud Examiners (ACFE) "Report to the Nations on Occupational Fraud and Abuse" published in 2012, it predicted that 5% of an organization's revenue is lost to fraud. Performing a fraud risk assessment can seem like a daunting task for an organization. In reality, it can be done using a template and brainstorming with internal auditors, certified fraud examiners and business unit leaders throughout your organization. It doesn't require having a CFE but it does help to have some exposure to fraud auditing and a mind for coming up with schemes that can occur in any control environment. The fraud risk assessment can be built to tie in with current Sarbanes Oxley Controls to help companies assess whether the current control environment can help deter fraud from occurring.
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Recorded Session - How it works
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  • Upon purchase of the recorded session a link will be updated on your OCP Account within 24 hours
  • Please click on the link to access the Recorded Session
  • Presentation handouts in downloadable PDF format will be updated on your OCP Account within 24 hours of the purchase of the product
  • Download the Certificate of Attendance and Purchase Invoice from your OCP Account after 48 hours of the product Purchase
  • Please share your valuable Feedback at the end of the session
Instructor Profile:
Marna Steuart has been in the audit industry for over twenty years. Ms. Steuart began her career with a Big Four firm as an external auditor, then as an internal auditor in several different capacities within several different industries. Ms. Steuart obtained her Certified Fraud Examiner license in 2007 and was the main fraud investigator for five years at a large utility company. She was responsible for performing and updating the fraud risk assessment on an annual basis and conducting over fifty internal fraud investigations during her time at this organization.
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