Inspector General and Director of Compliance
The Office of the Inspector General and Director of Compliance for the Board of Governors, established in 2007, provides leadership and coordination of audit, investigative, and compliance activities for the Board Office and generally promotes activities that ensure accountability, financial integrity, and efficiency as required by law. The Inspector General and Director of Compliance functions in accordance with the Office of the Inspector General and Director of Compliance Charter, which provides clear articulation of the office’s authority, duties, and responsibilities.
The Audit and Compliance Committee was established to demonstrate the Board of Governors’ firm commitment to accountability and in furtherance of its fiduciary responsibility for the overall management of the State University System. The Audit and Compliance Committee Charter articulates the powers and duties of the Audit Committee and establishes clear lines of authority, responsibility, and expectations related to the Office of the Inspector General and Director of Compliance.
Pursuant to the Inspector General Act, Section 20.055, Florida Statutes, the Inspector General and Director of Compliance must prepare an Annual Report no later than September 30th of each year summarizing the activities of the office during the preceding fiscal year. The Annual Report shall be furnished to the Board and the Chancellor and other interested parties.
- 2012-2013 Annual Report
- 2011-2012 Annual Report
- 2010-2011 Annual Report
- 2009-2010 Annual Report
- 2008-2009 Annual Report
- 2007-2008 Annual Report
- Section 20.055, Florida Statutes, Agency Inspectors General
- Whistle-Blowers Act
- Association of Inspectors General
- Florida Inspectors General
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