Selectivity in the hiring process is critical to Vonya Global's success. Our employees come to us with the experience, credentials, and skills to meet our rigorous demands and exceed our client's expectations. Their capabilities include the experience from working on hundreds or internal audit projects, technical expertise, access to best practices and knowledge databases, positive attitude, motivation to perform, and tenure with the firm.
Vonya Global employs experienced, certified internal auditors who are able to quickly understand business objectives, assess risks, identify controls, and make actionable recommendations. All of our employees hold professional certifications and most carry more than one. The following are brief example biographies of a few of our employees:
J.H. is an Accredited IIA Quality Assessor in addition to being a Certified Fraud Examiner (CFE), a Certified Public Accountant (CPA), she has a MBA from the University of Chicago (rated #1 MBA program in the USA), and has recently passed the Certified Information Systems Auditor exam. She is an experienced audit professional serving in roles with increasing responsibility in finance and operations. She has had success in forensic accounting, investigating fraud, and managing internal audit projects, in addition to having experience with financial analysis, strategic modeling, and business process reengineering.
H.O. has over 20 years of experience and is a Certified Information Systems Auditor (CISA). She has served in a variety of internal audit capacities across many industries, including servings as the Internal Audit Director for a prominent not-for-profit organization in Chicago. She has demonstrated the ability to improve operations through achievements in internal controls, process improvements, technology, delivery, customer service, and best practice initiatives. Her experience includes IT Auditing, Financial Auditing, Operational Auditing, and Compliance. She has also helped numerous companies comply with the requirements of the Sarbanes-Oxley Act in both financial reporting and information technology.
G.S. (CPA, CFSA, CISA) is an assurance and consulting professional who helps companies improve their risk management, internal control and governance processes. Over 20 years of experience providing internal audit, risk advisory, and management consulting services to companies in a variety of industries. Over 8 years experience assessing and improving internal control over financial reporting, leading Sarbanes-Oxley Section 404 compliance efforts, and improving the efficiency of the ongoing control assessment process.
B.G. is a CPA and an Internal Audit leader with extensive experience providing risk management and internal audit consulting services. Her experience includes Accounting, Finance, and Regulatory Compliance in insurance, manufacturing, and financial services. Her responsibilities and accomplishments have included developing and executing an implementation strategy for Section 404 of the Sarbanes-Oxley Act of 2002, developing and executing a comprehensive risk assessment process, completing various internal audit projects and presenting the results of audit work, Audit Committee reporting, and developing an internal quality review process to assess internal audit activities for compliance with the IIA standards.