
Compliance Auditor Course
The Compliance Auditor Course gives you a complete, professional-grade framework for planning, executing, and reporting compliance audits across any industry. From risk assessment and control testing to findings documentation and stakeholder communication, every core competency is covered. Whether you are entering the field or formalising your existing skills, this course prepares you to perform at the highest professional standard.
What you will learn:
You will learn how to build risk-based audit plans, collect and document reliable evidence, and test internal controls against regulatory requirements. The course covers root cause analysis, audit report writing, and how to communicate findings clearly to executives and boards. You will also develop skills in corrective action monitoring, data analytics, fraud awareness, and IT compliance auditing. Sector-specific modules address financial services, healthcare, supply chain, and environmental compliance. By the end, you will have the tools and knowledge to manage a full audit engagement from planning through closure.
How you study in practice Compliance Auditor Course
How you practise Compliance Auditor Course
For businesses looking to train their team
With Dedika for businesses, the course includes exercises and examples tailored to your own business and the way your company needs.
Course content
8 Chapters • 38 LessonsDuration between 4 and 360 hours (you decide)
Chapter 1HideHide detailsSee detailsFoundations of Compliance Auditing
Foundations of Compliance Auditing
Lesson 1 • The Audit Lifecycle at a Glance
Introduces the end-to-end audit process from planning through reporting. Provides a mental model that subsequent chapters will develop in depth.
Lesson 2 • Regulatory Environment Overview
Maps the landscape of regulatory bodies, standards, and obligations auditors encounter. Builds awareness of the external forces that shape audit scope.
Lesson 3 • Ethics and Professional Standards
Covers the ethical obligations and professional codes that govern auditor conduct. Establishes the integrity baseline required throughout the course.
Lesson 4 • What Compliance Auditing Is
Defines compliance auditing and its place within organisational governance. Grounds all subsequent learning in a shared professional vocabulary.
Chapter 2HideHide detailsSee detailsRisk-Based Audit Planning
Risk-Based Audit Planning
Lesson 1 • Defining Audit Scope and Objectives
Guides auditors in translating risk assessments into clear, bounded audit scopes. Prevents scope creep and ensures resource efficiency.
Lesson 2 • Building the Audit Plan
Covers the structure and content of a formal audit plan document. Students learn to schedule resources, assign responsibilities, and set timelines.
Lesson 3 • Risk Assessment Techniques
Presents qualitative and quantitative methods for evaluating compliance risks. Equips auditors to select and apply the right technique for each engagement.
Lesson 4 • Preliminary Engagement Activities
Details pre-fieldwork tasks: engagement letters, opening meetings, and document requests. Establishes productive auditor-auditee relationships from the start.
Lesson 5 • Understanding Compliance Risk
Defines compliance risk and its components: likelihood, impact, and velocity. Connects risk concepts to audit scope decisions made in planning.
Chapter 3HideHide detailsSee detailsEvidence Collection and Documentation
Evidence Collection and Documentation
Lesson 1 • Workpaper Standards and Organisation
Establishes standards for creating, indexing, and cross-referencing audit workpapers. Ensures documentation supports conclusions and withstands supervisory review.
Lesson 2 • Chain of Custody and Evidence Integrity
Addresses procedures for preserving evidence integrity from collection through reporting. Protects audit conclusions from challenges based on evidence handling.
Lesson 3 • Interviewing Techniques
Teaches structured and semi-structured interview methods for eliciting accurate information. Builds the interpersonal skills needed to gather reliable testimonial evidence.
Lesson 4 • Observation and Walkthrough Methods
Covers process walkthroughs and direct observation as evidence-gathering tools. Connects physical verification to control testing objectives.
Lesson 5 • Types and Attributes of Audit Evidence
Classifies evidence by type and evaluates it against sufficiency, reliability, and relevance criteria. Anchors all fieldwork decisions in evidence quality standards.
Chapter 4HideHide detailsSee detailsControl Testing and Evaluation
Control Testing and Evaluation
Lesson 1 • Evaluating Test Results
Teaches auditors to interpret test outcomes, identify exceptions, and assess their significance. Connects test results to overall audit conclusions.
Lesson 2 • Sampling Methods in Compliance Testing
Covers statistical and non-statistical sampling approaches and their appropriate use cases. Ensures auditors can defend sample selections and extrapolate findings.
Lesson 3 • Documenting Control Conclusions
Covers how to record control evaluation conclusions in workpapers and link them to findings. Prepares auditors for the reporting phase.
Lesson 4 • Internal Controls Fundamentals
Explains control types, objectives, and the frameworks used to evaluate them. Provides the conceptual foundation for all testing activities in this chapter.
Lesson 5 • Designing Audit Test Procedures
Guides auditors in selecting and designing tests appropriate to each control and risk level. Links test design decisions back to the risk-based audit plan.
Chapter 5HideHide detailsSee detailsAudit Findings and Root Cause Analysis
Audit Findings and Root Cause Analysis
Lesson 1 • Root Cause Analysis Methods
Introduces structured techniques for identifying the true source of compliance failures. Prevents superficial findings that lead to ineffective corrective actions.
Lesson 2 • Validating Findings with the Auditee
Covers the process of sharing draft findings with auditees to verify accuracy and gather responses. Reduces disputes and strengthens the credibility of the final report.
Lesson 3 • Rating and Prioritising Findings
Covers risk-based rating scales for classifying finding severity. Helps auditors and management focus remediation resources on the highest-impact issues.
Lesson 4 • Anatomy of an Audit Finding
Breaks down the standard components of a compliance finding: condition, criteria, cause, and effect. Establishes a consistent structure for all findings produced in the course.
Lesson 5 • Developing Actionable Recommendations
Teaches auditors to craft specific, feasible, and measurable recommendations tied to root causes. Bridges the gap between findings and sustainable compliance improvement.
Chapter 6HideHide detailsSee detailsAudit Reporting and Communication
Audit Reporting and Communication
Lesson 1 • Presenting Findings to Stakeholders
Covers techniques for delivering audit results in meetings and formal presentations. Builds confidence in handling questions and pushback from senior stakeholders.
Lesson 2 • Writing Clearly and Concisely
Applies plain-language principles to audit report writing for technical and non-technical readers. Eliminates ambiguity that could undermine report credibility.
Lesson 3 • Audit Report Structure and Content
Defines the standard sections of a compliance audit report and the purpose of each. Provides a reusable template framework for all future engagements.
Lesson 4 • Report Issuance and Distribution
Details the final steps of report approval, issuance, and controlled distribution. Ensures reports reach the right recipients with appropriate confidentiality protections.
Lesson 5 • Tailoring Reports to Audiences
Teaches auditors to adjust report depth, tone, and format for boards, executives, and operational managers. Maximises the impact of audit results at every level.
Chapter 7HideHide detailsSee detailsCorrective Action and Follow-Up
Corrective Action and Follow-Up
Lesson 1 • Managing Repeat and Systemic Findings
Addresses strategies for escalating and resolving findings that recur across audit cycles. Identifies systemic control weaknesses requiring organisation-wide remediation.
Lesson 2 • Corrective Action Plan Fundamentals
Defines the components of an effective corrective action plan and the auditor's role in reviewing it. Sets expectations for management accountability in remediation.
Lesson 3 • Verifying Corrective Action Effectiveness
Teaches auditors to test whether implemented actions have actually resolved the root cause. Distinguishes between action completion and genuine compliance improvement.
Lesson 4 • Tracking and Monitoring Remediation
Covers systems and processes for tracking open findings through to closure. Prevents findings from ageing without resolution and supports audit committee reporting.
Chapter 8HideHide detailsSee detailsAdvanced Audit Strategy and Quality
Advanced Audit Strategy and Quality
Lesson 1 • Audit Quality Assurance and Improvement
Introduces internal quality assurance practices and external quality assessment processes. Ensures the audit function meets professional standards and continuously improves.
Lesson 2 • Continuous Auditing and Monitoring
Explores automated, ongoing compliance monitoring as a complement to periodic audits. Prepares auditors to design and oversee continuous assurance programmes.
Lesson 3 • Emerging Risks and Audit Agility
Addresses how to adapt audit programmes rapidly in response to new regulatory, technological, or operational risks. Develops strategic agility as a core auditor competency.
Lesson 4 • Audit Committee and Board Reporting
Teaches auditors to prepare and deliver strategic compliance reports to governance bodies. Builds the executive communication skills needed for senior audit roles.
Lesson 5 • Building an Annual Audit Plan
Covers enterprise-level audit planning, including universe development and risk-based prioritisation. Connects individual engagements to a coherent, organisation-wide assurance strategy.
Your valid completion certificate
This course is for you:
Internal auditors: ready to specialise in compliance-focused engagements.
Risk managers: seeking structured audit skills to strengthen oversight responsibilities.
Compliance officers: wanting to lead formal audit cycles within their organisations.
Recent graduates: entering governance, risk, or compliance roles for the first time.
Operations managers: responsible for regulatory adherence in their business units.
Career changers: transitioning from finance or legal backgrounds into audit roles.
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