REGULATORY COMPLIANCE AUDIT
INTRODUCTION
The Regulatory Compliance Audit narrowly assesses an aviation organization’s compliance with ICAO Standards and Recommended Practices (SARPs), Member State Authority civil aviation safety regulations, as well as local regulatory requirements as may be applicable.
Specific areas of audit include, but not limited to:
Specific areas of audit include, but not limited to:
- Operational and technical manuals
- Management oversight and supervision
- Organizational structure
- Reporting relationships and accountability
- Employee selection and retention processes
- Training and evaluation programs
- Operations control (dispatch)
- Maintenance / engineering
- Interviews with key management personnel
- Interviews with representative front line personnel
REGULATORY COMPLIANCE AUDIT DELIVERABLES
- Formal written Audit Report detailing specific areas of strengths, weaknesses, and non-compliance with International, State Authority, and local regulatory requirements
- Suggested action plan to address areas in need of correction and/or improvement
- Implementation of suggested action plan as requested by the auditee
"WHY GHS?"
- International subject matter expert (SME) Team with extensive experience as global regulatory Auditors, Lead Auditors, and Evaluators
- Seasoned aviation industry experts that can draw upon “real-world” international audit experiences in a variety of regulatory environments
- No conflict of interest concerns between auditing, consulting, and training
©2022 GHS Aviation Group, LLC. All Rights Reserved
SITE MAP