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Impartiality & Conflicts of Interest Policy
1. Purpose
Selahnex Audits is committed to maintaining impartiality, independence, and objectivity in all audit, assessment, and advisory activities. This policy defines the principles and controls used to identify, evaluate, manage, and prevent conflicts of interest that could compromise — or appear to compromise — our professional judgment.
2. Commitment to Impartiality
All services are performed with professional skepticism and independence.
We do not allow commercial, financial, relational, or other pressures to influence the outcomes of our work.
Impartiality is a core principle of our practice and is required of all personnel, contractors, and associates engaged in service delivery.
3. Scope of Services
To preserve independence:
We do not issue certifications, attestations, or formal assurance opinions
We do not act as a certification body or regulator
We do not design, implement, operate, or manage client controls
We do not assume management responsibility for client compliance programs
Our services are limited to independent audits, internal audits, readiness assessments, gap analyses, and advisory activities that do not impair objectivity.
4. Identification of Conflicts of Interest
Potential conflicts of interest are identified:
Prior to accepting a new engagement
When service scope changes
When new relationships, financial interests, or affiliations arise
Conflicts may include, but are not limited to:
Prior implementation or operational involvement
Financial interests in a client or related entity
Personal or familial relationships
Simultaneous engagements that create dependency or undue influence
5. Evaluation and Management
Each identified conflict is evaluated to determine whether it can be effectively mitigated.
Mitigation measures may include:
Engagement separation or personnel rotation
Disclosure to the client
Scope limitation or modification
Refusal or withdrawal from the engagement
If a conflict cannot be adequately managed, the engagement will not be accepted or will be discontinued.
6. Separation from Certification Bodies and Attestation Providers
Selahnex Audits operates independently from certification bodies, auditors, and attestation providers.
Where clients engage third-party certification bodies or licensed assurance providers:
We do not influence certification decisions
We do not represent ourselves as acting on behalf of such bodies
Our reports are advisory in nature and are not substitutes for formal certification or attestation
7. Personnel Responsibilities
All personnel involved in service delivery are required to:
Act impartially and objectively
Declare any actual or potential conflicts of interest
Comply with this policy and related ethical requirements
Failure to adhere to this policy may result in removal from engagements or termination of association.
8. Client Transparency
Clients may request information regarding:
Our independence safeguards
Conflict identification processes
Mitigation actions applied to their engagement
Material conflicts, where relevant, are disclosed to clients in advance of engagement acceptance.
9. Review and Maintenance
This policy is reviewed periodically to ensure continued alignment with professional standards, regulatory expectations, and best practices for independent audit and advisory services.
