The Investigations Division provides the EIB Group with the capacity to investigate independently, professionally and objectively allegations of fraud and misconduct involving EIB Group financed activities and/or members of governing bodies or staff. It is the sole office mandated to investigate fraud and misconduct within the EIB Group.
In addition to its primary mission of conducting investigations, the division also carries out proactive fraud detection, launches exclusion proceedings for entities engaged in prohibited conduct, provides advice on anti-fraud policies and procedures and raises awareness on fraud related issues to stakeholders inside and outside the EIB Group.
How to report fraud and misconduct
Alternatively, allegations can be submitted directly to:
- the Inspector General (for prohibited conduct issues),
- the Group Chief Compliance Officer (for other forms of misconduct/alleged breaches of the EIB Group Staff Code of Conduct) or
- the Head of Personnel (for harassment issues).
Allegations of Prohibited Conduct under the EIB Group Anti-Fraud Policy can also be submitted to the European Anti-Fraud Office (OLAF) or the European Public Prosecutor’s Office (EPPO).
Key policies
Stay up to date
- Investigations Activity Report 2022
- EIB Group Code of Conduct
- EIB Group Investigations Activity Report 2021
- EIB Group Anti-Fraud Policy
- EIB Fraud Investigations Activity Report 2020
- EIB Group Whistleblowing Policy
- EIB Group Dignity at Work Policy
- Anti-Corruption Statement of the European Investment Bank
- Processing of personal data by the Fraud Investigations Division and the Office of the Chief Compliance Officer
- Guide to Procurement for projects financed by the EIB
- EIB Fraud Investigations Division Charter
- Combatting fraud and corruption in EIB’s operations
- EIB Anti-Fraud Policy
- Investigation Procedures