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Welcome to my website,

I am John Webb and I have extensive product experience and connections within Investment Banking Internal Audit, covering Capital Markets, Corporate Finance and Cash Equities. I can quickly bring this to bear in support of your internal audit and risk assurance requirements.

Drawing on experience in the Insurance sector and  in depth study of the source documentation for the Solvency II regime, I can also offer both advice and in-house training on the implications for Internal Audit and assurance providers.

Building on my most recent audit experience in Insurance and with Solvency II and many years product experience within Investment Banking Internal Audit, covering Capital Markets, Corporate Finance and Cash Equities, I offer: -

1. Interim management.

2. Internal audit effectiveness reviews.

3. Support to Internal Audit Departments by reviewing methodology.

4. Performing fraud investigations as an ACFE.

5. Analysing fraud control implications and making recommendations.

6. Fraud risk management and assurance.

I am also jointly writing a book on fraud risk management and have contributed regularly to the Association of Certified Fraud Examiners’ (ACFE) UK Fraud Manual.  Most recently, I revised many manual sections including Financial Institutions, Insurance, Solvency II, Institute of Internal Auditors revised standards and Fraud Auditing.

In 2011, whilst working for QIB (UK), I obtained the Islamic Finance Qualification.

I can avoid some of the normal conflicts of interest because I am totally independent both in mind and financially.