Position Overview
Job Description
1. Define Scope: Clearly outline the systems, processes, and data included in the audit.
2. Risk Assessment: Identify potential risks to network security and EDI, such as unauthorized access, data breaches, system failures, and compliance violations.
3. Control Identification: Determine the existing security controls in place to mitigate the identified risks.
4. Control Testing: Design and execute tests to evaluate the effectiveness of the controls (e.g., reviewing configurations, analyzing logs, conducting vulnerability scans).
5. Reporting: Document the audit findings, including any weaknesses or vulnerabilities discovered, and provide recommendations for improvement.
6. Follow-Up: Track the implementation of the recommendations and conduct periodic re-assessments to ensure ongoing compliance.
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