Carine AzangueDirector Risk Advisory
Areas of Specialization:
- Risk Management
- SOX compliance Review
- Internal Audit
- Fraud Examination and Investigation
- Anti Money Laundering
- Regulatory Compliance
- Compliance Examination
- Privacy and Security Compliance
- Commercial/Investment Banking
- Financial Services
- Broker-dealer industry
- Not for profit
Mrs. Azangue leads The Quiah Group Risk Advisory Practice, where she is responsible for the delivery of services in areas including Enterprise Risk Management, Internal Audit, Fraud Examination, Sarbanes-Oxley (SOX) Compliance, Process Improvement.
Just prior to joining Quiah Group, Carine was a Compliance Audit Director a large non for profit organization. While there, she established and helped developed an internal audit function, compliance program, business continuity program and anti-corruption program. She also oversaw the SOX compliance programs. She worked with such institutions as KPMG, Accenture, Freddie Mac, McGladrey LLP, Navigant Consulting, PepsiCO, American Red Cross, FINRA, MoneyGram, FDIC and many others clients.
Carine is a holder of an MBA degree as well as a Bachelor degree in Finance and Accounting. She was an honor graduate of University of Chicago and a member of the following associations; Association of Certified Fraud Examiners (ACFE), The Institute of Internal Auditor (IIA) and the Association of Certified Anti-Money Laundering Specialist (ACAMS).