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Auditing & Compliance

Organizations cannot do everything internally. Even well-resourced security teams face constraints related to time, scope, and objectivity, and internal audit functions can be influenced by institutional bias, operational familiarity, or competing priorities. Regulatory agencies and insurance providers increasingly recognize these limitations and strongly encourage, and in many cases require, independent third-party security inspections to validate risk management and compliance claims.

MB Security (MBS) serves as an impartial third-party auditor, providing objective evaluations of physical security programs, operational controls, and governance structures. Our audits examine access control, surveillance, perimeter protection, response procedures, policy documentation, and workforce practices to determine whether security controls are not only present, but effective and defensible.

MBS audits go beyond checklist compliance. We assess how physical security controls interact with cyber-enabled systems, credentialing processes, and networked security technologies to identify systemic weaknesses and cascading risk. Evaluations are mapped to applicable regulatory, contractual, and insurance frameworks, including NIST-aligned standards and sector-specific requirements.

Audit findings are delivered in clear, actionable reports designed for executive leadership, regulators, and insurers. Recommendations are prioritized based on risk, operational impact, and compliance exposure, enabling organizations to remediate deficiencies efficiently and prepare confidently for external reviews, renewals, or certifications.

By engaging MBS as an independent audit authority, organizations gain a credible, unbiased assessment of their security posture and a defensible foundation for regulatory compliance, insurance underwriting, and long-term risk management.

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