Joint Medical Store Internal Audit Officer - Jobs in Uganda
Duty Station; Kampala
Reports to; Director Internal Audit Risk & Compliance
Supervises; None
Main Purpose of the job
Execute all approved audit activities and plans to provide independent and objective assurance on the efficiency and effectiveness of JMS operations in conformity with JMS policies, procedures and guidelines, and relevant laws, regulations and accepted business practices.
Key Performance indicators
• Audit Planning Support
• Special Audit Assignments
• Conduct of Follow-up Audits
• Risk and Compliance Management
• Representation to Quality Management Systems (QMS) team
• Conduct Stock Audits
• Spot Checks on Cash
Key duties and Responsibilities
1) Review the audit manual and other department Manuals, organizational Procedures & Policies to identify established audit areas and schedules
2) Plan and prepare tailored audit programs to suit audit assignment and forward program to DIARC for review.
3) Hold pre-planning meetings for the assignment with team members and entry meetings with auditees and adjust the audit program accordingly.
4) Execute the audits by gathering relevant evidence and work done and uploading it into the audit software (Team Mate Audit software)
5) Prepare draft audit reports and working papers to DIARC for review.
6) Forward audit issues for both Internal and external audits with un closed actions to the respective auditees and receive and review the status of implementation of the audited actions
7) Train staff in QMS procedures and other relevant requirements, in line with QMS annual plans and perform QMS audits.
8) Prepare working papers and audit reports for the audit work performed.
9) Review the accuracy of the figures in the end of year and bi-monthly project stock take results report by re-computing the values and tracing the counted quantities to the physical count sheets
10) Validate and obtain reasons for any variances and follow up on the implementation of any management actions arising
11) Physically count the cash in the presence of the cashier/Accountant and update the cash count sheets and reconcile the physical and expected cash balance
12)Carry
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