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Risk & Assurance · Management of Health & Safety at Work Regulations 1999

Risk Assessment, Auditing & Compliance

Statutory workplace risk assessments, task-specific evaluations, independent H&S audits, fire risk coordination, and verified CAPA action closure across the UK.

UK Statutory Aligned GBP (£) Invoicing 24-48h SLA Response Senior Oversight
Risk Assessment, Auditing & Compliance — Kevron Consulting UK Limited
Management of Health & Safety at Work Regulations 1999 London · UK Nationwide
Framework Management of Health & Safety at Work Regulations 1999
Engagement Fixed-Fee, Project or Retained
Executive Context

What This Practice Area Achieves

Statutory task risk assessments, workplace compliance audits, fire risk coordination, CAPA action tracking, and board-level risk reporting.

Commercial Alignment

Every deliverable is structured to pass regulatory audits, insurer scrutiny, and Tier-1 procurement requirements under current UK standards.

Operational Reality

Where Operational Safety Commonly Breaks Down

Outdated or Generic Workplace Assessments

Risk assessments that fail to reflect actual operational changes, plant upgrades, or recent near-miss events.

High-Risk Tasks Without Specific Controls

Critical maintenance, lifting, electrical, or height activities proceeding without rigorous, task-specific method reviews.

Overdue Audit Actions & Repeat Findings

Inspections and audits generate findings that sit on spreadsheets without assigned owners, evidence tracking, or verified closure.

Board Reporting Without Real Assurance

Executive dashboards containing only historical injury rates rather than decision-useful leading indicators and risk control effectiveness.

Target Audience

Who This Service Is For

Boards of Directors, Trustees, and Risk Committees requiring independent governance assurance.
Health & Safety, Quality, and Compliance Leaders managing multi-site audit programmes.
Facilities Managers and Asset Operators responsible for multi-let commercial properties.
Operations Directors in Warehousing, Logistics, Manufacturing, and Energy facilities.
Measurable Value

Post-Engagement Value Gains

Statutory Compliance (MHSWR Reg 3)

Legally defensible, suitable and sufficient risk assessments meeting UK enforcing authority expectations.

Verified CAPA Action Closure

Every audit finding tracked with mandatory physical or documentary proof before sign-off.

Operational Risk Visibility

Clear distinction between physical workplace condition, system effectiveness, and legal compliance.

Decision-Useful Board Assurance

Executive-level reporting translating operational findings into strategic risk management insights.

Interactive Discovery

Risk & Assurance Support Finder

Identify the right risk assessment, inspection, compliance audit, or board assurance pathway tailored to your operational requirements.

Step 1 of 2 Select what you need to understand

What is your primary operational or governance focus?

MHSWR 1999 Regulation 3

General Workplace Risk Assessment

Under Regulation 3 of the Management of Health and Safety at Work Regulations 1999, employers must make a suitable and sufficient assessment of workplace risks. We implement a structured 7-step evaluation ensuring defensible, practical controls.

STEP 01

Understand

Workplace layout, occupancy, shift patterns & activities.

STEP 02

Identify

Physical, chemical, biological, ergonomic & psychosocial hazards.

STEP 03

Assess

Who may be harmed (workers, visitors, young/vulnerable persons).

STEP 04

Control

Applying general principles of prevention & control hierarchy.

STEP 05

Record

Significant findings logged in a clear, auditable risk register.

STEP 06

Implement

Assigning responsible owners, budgets & target completion dates.

STEP 07

Review

Periodic annual audits or triggers after change or near-misses.

High-Consequence Activity Reviews

Task-Specific Risk Assessments

Generic risk assessments are insufficient for high-hazard work. We develop focused, sequence-based risk assessments detailing exact equipment, competence, isolations, and emergency response.

Machinery & Maintenance

Lockout/Tagout (LOTO), stored energy dissipation, interlock testing, and PUWER 1998 compliance.

Lifting Operations (LOLER)

Appointed Person lift plans, crane outrigger loading, slinger competence, and accessory inspection.

Work at Height (WAH 2005)

MEWP selection, edge protection, fragile roof access, harness anchorage, and drop-object exclusion zones.

Electrical Work (EAW 1989)

Dead working verification, arc-flash protection, isolation permits, and temporary power distribution.

Manual Handling (MHOR 1992)

Tile assessments (Task, Individual, Load, Environment), mechanical aids, and ergonomic workflows.

COSHH & Hazardous Materials

Chemical exposure limits (WELs), Safety Data Sheet inventories, LEV testing, and spill response.

Workplace Transport & Logistics

Pedestrian-FLT segregation, one-way circulation, loading dock interlocks, and blind-spot mirrors.

Confined Spaces (CSR 1997)

Continuous gas monitoring, permit-to-work, top-man communications, and emergency rescue setups.

Structured Methodology

From Hazard to Verified Control

Effective risk management is not a tick-box exercise. Kevron applies the general principles of prevention to eliminate hazards at source or implement engineering controls before relying on administrative rules or PPE.

No False Dogma

We evaluate operational practicality alongside statutory requirements, ensuring control measures are proportionate, enforceable, and understood by frontline operatives.

1
Elimination: Physically remove the hazard (e.g. prefabricating at ground level).
Most Effective
2
Substitution: Replace with less hazardous materials or lower voltage plant.
3
Engineering Controls: Isolate people from the hazard (guarding, LEV, edge protection).
4
Administrative Controls: Change the way people work (SOPs, permits, training, rotation).
5
Personal Protective Equipment: Last line of defense protecting individual workers.
Last Resort
Premise Fire Safety Governance

Fire Risk Assessment Coordination

Kevron coordinates fire risk assessments, defines premises scope, liaises with accredited specialist assessors, and manages the resulting corrective action tracker across your UK property portfolio.

UK Jurisdictional Statutory Frameworks Select UK Nation
England & Wales

RRO 2005 / FSA 2021

Statutory "Responsible Person" duty. Covers structure, external walls & common parts under Fire Safety Act 2021.

Scotland

Fire (Scotland) Act 2005

Duties placed on "Dutyholders" under Part 3 & Fire Safety (Scotland) Regulations 2006 for non-domestic premises.

Northern Ireland

Fire & Rescue Order 2006

Duties placed on the "Appropriate Person" under Fire Safety Regulations (Northern Ireland) 2010.

Statutory Dutyholder Rule: Retaining Kevron Consulting UK Limited coordinates fire risk assessment and action management; under UK law, statutory dutyholder responsibility remains with the designated Responsible Person / Dutyholder.
01. SCOPE

Premises

02. DATA

Drawings

03. LIAISON

Specialist

04. FINDINGS

Priorities

05. ACTION

Tracking

06. EVIDENCE

Collation

07. CLOSURE

Verified

08. REVIEW

Annual

Assurance Differentiation

Workplace Inspections vs. Audits vs. Compliance Reviews

We clearly distinguish between immediate physical hazard identification, management-system effectiveness auditing, and independent legal/contractual compliance benchmarking.

PHYSICAL CONDITIONS

Workplace Safety Inspection

"What physical conditions and frontline practices exist right now?"

  • Housekeeping, access/egress & slip/trip hazards.
  • Machine guarding, emergency stop buttons & PUWER checks.
  • PPE adherence & worker safe-behaviour walkthroughs.
Deliverable: Timestamped photo scorecard & 24-48h action list.
ISO 19011 Aligned
SYSTEM EFFECTIVENESS

Health & Safety Audit

"Are defined management systems and controls operating effectively over time?"

  • Policy governance, risk registers & training matrices.
  • Statutory plant thorough examination compliance logs.
  • Management review, CAPA resolution & continuous improvement.
Deliverable: Formal audit report with RAG maturity scorecards.
CRITERIA ALIGNMENT

Independent Compliance Review

"How well does current evidence align with legal, policy or client standards?"

  • Second-party supplier & trade contractor compliance audits.
  • Pre-acquisition & tenancy H&S due-diligence gap analysis.
  • Major client tender prequalification criteria verification.
Deliverable: Compliance gap matrix & executive assurance briefing.
Closed-Loop Assurance

CAPA & Verified Action Closure

Findings only create organizational value when corrective action is completed, verified, and closed. Kevron implements structured CAPA tracking that replaces untracked spreadsheets with auditable proof.

Basic Practice

Action Marked Complete

A supervisor checks a box stating work was done, but no supporting evidence is recorded.

Kevron Standard

Action Verified Closed

An independent or senior safety reviewer verifies timestamped photos, revised SOPs, or test logs.

Assurance Register

Representative CAPA Tracker

Illustrative UI
Open 14
Due Soon 4
Verification 6
Closed 82
LEV Local Exhaust Ventilation Inspection Chemical workshop · Assigned to Facilities Lead
VERIFIED CLOSED
Aisle 4 Pedestrian Barrier Rectification Logistics depot · Assigned to Operations Lead
EVIDENCE SUBMITTED
Board-level health and safety assurance briefing
Executive Oversight · Decision-Useful Governance
Executive Risk Governance

Board-Level & Management Assurance Reporting

We translate thousands of detailed operational data points into concise, decision-useful executive dashboards. Rather than relying solely on lagging injury rates, we provide directors with clear visibility into critical risk controls, overdue CAPA actions, and emerging statutory liabilities.

1

Operational Level (Supervisors)

Item-by-item inspection defect logs, 24-48h trade fix lists, and immediate physical control verification.

2

Management Level (QHSE & Ops Directors)

Thematic non-conformance trends, audit closure velocities, overdue action tracking, and contractor ranking.

3

Board / Executive Level (Directors & Risk Committees)

Consolidated risk profiles, critical legal liabilities, material audit findings, and strategic capital expenditure decisions.

Core Capabilities

Practice Scope & Expertise

Explore the primary delivery capabilities included within this practice area.

General Workplace Risk Assessments

General Workplace Risk Assessments

Comprehensive baseline assessments evaluating workplace layout, equipment, housekeeping, and personnel under MHSWR Reg 3.

Task-Specific High-Risk Evaluations

Task-Specific High-Risk Evaluations

Focused risk reviews for maintenance, lifting operations, work at height, electrical, COSHH, and confined spaces.

Workplace Safety Inspections

Workplace Safety Inspections

Structured on-site condition audits with timestamped photographic scorecards and immediate 24-48h hazard action lists.

Health & Safety Management Audits

Health & Safety Management Audits

Systematic evidence-based audits evaluating management system arrangements and control effectiveness under ISO 19011:2018.

Independent Compliance Reviews

Independent Compliance Reviews

Objective second-party reviews assessing operational alignment against legal requirements, client standards, and contracts.

Fire Risk Assessment Coordination

Fire Risk Assessment Coordination

Jurisdiction-aware fire safety coordination, scoping, specialist assessor liaison, and corrective action tracking.

CAPA & Action Closure Tracking

CAPA & Action Closure Tracking

Digital tracking connecting findings to root causes, assigned owners, deadlines, and verified physical evidence.

Board-Level Assurance Reporting

Board-Level Assurance Reporting

Strategic 3-tier governance reports providing directors with decision-useful risk profiles and assurance metrics.

Tangible Outputs

What You Receive

We deliver auditable, structured documentation and systems that hold up under client prequalification and regulator inspection.

Statutory Workplace Risk Assessment Register with prioritized RAG control measures.
Task-Specific Risk Assessment & Method Statements (RAMS) packs for high-risk operations.
Workplace Safety Inspection Scorecards with timestamped photo logs and 24-48h action lists.
Comprehensive H&S Compliance Audit Reports with findings, root cause analysis, and RAG maturity scoring.
Fire Risk Assessment Coordination Dossier and jurisdictional compliance action register.
Independent Gap Analysis & Legal Compliance Register aligned with UK statutory duties.
Corrective and Preventative Action (CAPA) Tracker with evidence-based verification logs.
Executive Board-Level H&S Assurance Dashboard and strategic risk committee briefings.
Delivery Methodology

How We Deliver

Structured 4-stage engagement milestone framework ensuring complete transparency and compliance.

01

Scoping & Criteria

Agreeing the exact assessment boundaries, regulatory criteria, site protocols, and operational stakeholders.

02

Evidence-Led Assessment

Conducting physical walkthroughs, workforce interviews, documentation reviews, and hazard evaluations.

03

Prioritised CAPA Setup

Categorising findings by severity and systemic impact, establishing root causes, and populating action logs.

04

Verification & Assurance

Reviewing documentary proof of closure, evaluating residual risk, and delivering executive board summaries.

Statutory Alignment

Applicable Standards & Frameworks

All service deliverables are mapped directly against active UK statutory legislation and international ISO standards.

MHSWR 1999 Reg 3

Management of Health and Safety at Work Regulations 1999 (Regulation 3 Risk Assessment).

ISO 19011:2018

Guidelines for auditing management systems (principles of integrity, fair presentation, and evidence).

HASAWA 1974

Health and Safety at Work etc. Act 1974 (Sections 2 & 3 general duties of care).

Fire Safety (UK)

RRO 2005 (England/Wales), Fire (Scotland) Act 2005, and Fire Safety Regs (NI) 2010.

Commercial Structure

Flexible & Transparent Engagement Models

Designed to fit project lifecycles, corporate compliance roadmaps, and agile procurement requirements.

Kevron UK compliance auditor conducting structured workplace risk audit and health check
Model 01
01
Defined Scope & Single Deliverable

Fixed-Fee Pilots

Targeted Risk Assessment or Compliance Audit

Typical Scope: Standalone COSHH, DSEAR, Machinery, or Fire Risk Assessment.
Statutory Health & Safety Audit
RAMS & Risk Documentation Review
Defined scope & deliverable Explore Fixed-Fee Support
CDM 2015 principal contractor safety advisor reviewing construction phase documentation on site
Model 02
02
Milestone-Driven Programme Delivery

Project-Based Delivery

Multi-Site Audit & CAPA Programme

Typical Scope: Coordinated audit campaign across national facility portfolios.
Construction CDM 2015 Site Support
Management System Implementation
Tied to project milestones Discuss Your Project
Chartered safety consultant conducting scheduled management review meeting with client executive
Model 03
03
Ongoing Competent Person & Assurance

Retained Support

Scheduled Periodic Compliance Auditing

Typical Scope: Quarterly inspections and continuous CAPA verification.
Designated Competent Person (Reg 7)
Scheduled Workplace Review & Audits
Monthly/Annual assurance partnership Explore Retained Support
Multi-consultancy project team collaborating on international safety assurance framework
Model 04
04
Professional B2B Supply-Chain Capability

Partner / Subcontract Delivery

Subcontract Audit & Technical Review

Typical Scope: Independent third-party compliance reviews for legal / assurance firms.
White-Label Consultancy Delivery
Consultancy Practice Partnership
Collaborative B2B agreements Discuss Partnership Delivery
Proven Delivery

Selected Experience

Verified outcomes delivered under this practice area.

View Project Portfolio
Industrial & Logistics Verified Outcome

National Distribution Logistics Hub Compliance Audit

Audited 450,000 sq ft automated hub, closed 38 non-conformances with 100% verified evidence trail.

Facilities Management Verified Outcome

Commercial Property Portfolio Risk Assessment Overhaul

Standardized risk registers across 18 multi-let London commercial office buildings.

Practice Governance

Quality & Governance for Risk Assessment, Auditing & Compliance

This practice area adheres to the Kevron UK controlled delivery baseline, featuring specific technical oversight, evidence standards, and verified action closure protocols.

The Kevron Assurance Chain
01. DEFINE Agreed Scope Statutory criteria
02. CONTROL Information Versioned records
03. EVIDENCE Field Findings Primary proof
04. REVIEW Chartered QA Tiered review
05. ACT CAPA Tracking Unique Action IDs
06. VERIFY Closure Sign-Off Objective evidence
Pillar 04

Evidence-Based Reporting

Direct observation logs, timestamped photographs, and statutory criteria citations.

Control: Dedicated report architecture with segregated Fact/Observation/Judgement sections, timestamped photographic evidence, calibration logs, and statutory criteria citations.
Pillar 05

Traceable Actions

Unique Action ID tracking linking every audit observation to an accountable owner.

Control: Sequential Action IDs (e.g. KV-ACT-1042), assigned action owners, target milestone tracking, automated milestone escalation, and status registers.
Pillar 06

CAPA (Corrective Action & Improvement)

5-Whys root-cause investigation protocols applied to repeat nonconformities and systemic gaps.

Control: 5-Whys and Fishbone root-cause analysis templates, containment workflows, systemic procedural updates, and recurrence prevention monitoring.
Pillar 07

Closure Verification

Documentary or physical proof mandatory before any audit finding is marked verified closed.

Control: Mandatory proof attachments (photos, test records, revised RAMS), distinct verifier sign-off separate from the action owner, and follow-up effectiveness reviews.
Procurement & Governance Enquiries Request formal capability statements, insurance schedules, or client NDA execution.
Frequently Asked Questions

Questions on Risk Assessment, Auditing & Compliance

Key answers regarding scoping, delivery timescales, and statutory compliance.

Under Regulation 3 of MHSWR 1999 and HSE guidance, a suitable and sufficient assessment identifies all significant workplace hazards, determines who might be harmed and how, evaluates existing controls against the principles of prevention, prioritises remaining risk, and records significant findings where five or more employees are employed.
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Executive Consultation · Risk Assessment, Auditing & Compliance

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