Tax and Accounting
Guide for Audit Committees, 3rd Edition
AREA: US
Price 11,000yen (11,550yen included tax)
Pub. July 2005
ISBN 0-8080-1371-8
The passage of the Sarbanes-Oxley Act and the resulting SEC rulemaking has placed company audit committees at the very center of federal corporate governance initiatives designed to restore investor confidence in audited financial statements.
Congress, the SEC and the self-regulatory organizations have all been very active in promulgating new rules and standards for audit committees. In addition, the PCAOB, although it does not directly regulate audit committees, has adopted a standard on internal control over financial reporting that significantly affects audit committees. The Board has also been interviewing audit committee chairs as part of its inspection process.
The third edition focuses heavily on the new corporate governance rules for audit committees. It also examines the role of audit committees envisioned by the new PCAOB standard on internal control over financial reporting. The guide also discusses the impact of the Sarbanes-Oxley Act and SEC rulemaking on audit committees.
Features & Benefits
- Comprehensive coverage of the requirements
- Authoritative analysis and explanations
- A convenient, all-in-one desktop resource
- Affordably priced for yourself and all of your colleagues
Contents Includes
- Chapter 1 - Introduction
- Chapter 2 - Committee's Composition and Dutiesd
- Chapter 3 - Internal Controls
- Chapter 4 - Audit Committee Financial Expert
- Chapter 5 - Report, Charter and Proxy Disclosure
- Chapter 6 - Report to Audit Committee
- Chapter 7 - Auditor Independence
- Chapter 8 - Audit Partner Rotation
- Chapter 10 - Improper Influence on Audits
- Chapter 11 - Attorney Reporting Duties
- Chapter 12 - Best Practices and Guidance
- Chapter 13 - Other Considerations
- SELECTED LAWS AND RULES
- Sarbanes-Oxley Act Provisions
- SEC Regulations
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