Internal Audit Leadership Program

EGP 50,000

A 12-week, cohort-based executive education program for sitting and next-generation Chief Audit Executives, aligned with the IIA Global Internal Audit Standards (2024) — assessed through applied work on the participant’s own organization, not attendance alone.

SKU: BB-LEAD-001 Categories: , Tag:

Description

A 12-week, cohort-based executive education program for sitting and next-generation Chief Audit Executives, aligned with the IIA Global Internal Audit Standards (2024) — assessed through applied work on the participant’s own organization, not attendance alone.

Who This Course Is For

Admission requires a minimum of 10 years’ audit, risk, or finance experience, including 3 years in a supervisory role. Employer nomination is encouraged.

  • Sitting Chief Audit Executives (CAEs)
  • Heads of Internal Audit
  • Deputy CAEs
  • Internal Audit Directors
  • Senior Audit Managers
  • CAE-succession candidates

Course Outline

Month 1 — Positioning & Governing the Internal Audit Function

Week 1 — Understanding the Business: Governance, Risk & Control Landscape

  • Reading the organization’s governance, risk, and control landscape as a leader, not just an auditor
  • Framework briefing, Egyptian practice segment, and applied group work

Month 1 — Positioning & Governing the Internal Audit Function

Week 2 — The Mandate: Internal Audit Mandate & Charter

  • Negotiating mandate, charter, and reporting lines under GIAS Domain III
  • Aligning the charter with board and audit committee expectations

Month 1 — Positioning & Governing the Internal Audit Function

Week 3 — Building the Internal Audit Strategy

  • Designing a forward-looking audit strategy reflecting industry, structure, and culture
  • Aligning strategy with the organization’s risk management maturity and team capability

Month 1 — Positioning & Governing the Internal Audit Function

Week 4 — Building the Risk-Based Internal Audit (RBIA) Plan

  • Constructing a risk-based audit plan tied directly to the audit universe
  • Prioritization logic for a defensible annual plan

Month 2 — Leading People & Managing the Function

Week 5 — Ethics, Professionalism & the Leader’s Credibility

  • Independence and objectivity as leadership disciplines, not compliance checkboxes
  • Identifying and managing independence threats across the function

Month 2 — Leading People & Managing the Function

Week 6 — Leading the Audit Team: Competencies, Culture and Leadership Traits

  • Building the collective competencies required by Standard 3.1
  • Recognizing and correcting toxic leadership behaviors

Month 2 — Leading People & Managing the Function

Week 7 — Financial, Human & Technological Resources (incl. AI & Analytics)

  • Budgeting and resourcing the audit function for growth
  • Making the business case for AI and data analytics adoption in audit

Month 2 — Leading People & Managing the Function

Week 8 — Stakeholder Relationships & Communication

  • Building trust-based relationships with boards, regulators, and other assurance providers (GIAS Principle 11)
  • Designing recurring communication routines that build credibility over time

Month 3 — Assurance Impact & the Boardroom

Week 9 — Coordination, Reliance & Fraud Risk Ownership

  • Coordinating with other assurance providers and managing reliance
  • Clarifying internal audit’s ownership of fraud risk oversight

Month 3 — Assurance Impact & the Boardroom

Week 10 — Quality Assurance & Improvement Programme (QAIP) and Performance Measurement

  • Evaluating and strengthening the function’s QAIP (Standards 8.3–8.4, 12.1–12.2)
  • Setting performance objectives and measures that matter to the board

Month 3 — Assurance Impact & the Boardroom

Week 11 — Reporting to the Board Audit Committee

  • Producing boardroom-grade reporting that influences governance decisions
  • Structuring annual and quarterly reports for maximum impact

Month 3 — Assurance Impact & the Boardroom

Week 12 — Capstone: The CAE Simulation Before a Mock Audit Committee

  • Live simulation presenting as CAE before a mock Audit Committee
  • Assessed on boardroom communication, insight, and leadership presence

Assessment & Certification

The program is assessed, not attendance-only. Certification requires attendance at a minimum of 10 of 12 sessions and an overall pass across the following components:

Participants completing all requirements receive The British University in Egypt Executive Education Certificate, with 40 CPE hours — including 3 CPEs on Ethics — documented for participants maintaining professional designations.

Component Weight Assessed Against
Attendance (min. 10 of 12 sessions) 50% Attendance logs
Participation 10% Engagement rubric
Capstone Project: Audit Committee report & live mock-AUCOM defense 50% Boardroom communication; insight; leadership presence

Learning Outcomes

  • Position the internal audit function strategically by negotiating the mandate, charter, reporting lines, and board relationships required under GIAS Domain III
  • Design a forward-looking internal audit strategy and risk-based plan matched to the organization’s risk maturity and team capability
  • Lead, develop, and retain a high-performing audit team, correcting toxic leadership behaviors and building the competencies required by Standard 3.1
  • Build trust-based relationships and communication routines with boards, audit committees, senior management, regulators, and other assurance providers
  • Evaluate and strengthen the function’s QAIP, performance objectives, and measures
  • Provide leadership oversight of fraud risk assessment and emerging risks, including AI and data analytics
  • Produce and defend boardroom-grade audit committee reporting that influences governance decisions