Presenter: John Selwood
29 May 2008 Time 2.00 - 5.15
Location: 66 Wigmore
Street, London W1U 2SB
What are the course aims and objectives?
Attendees will benefit by gaining an understanding of the impact of Practice Assurance over the past 3 years, and how this impacts on their practice. The course will consider the problem areas and give practical advice on compliance.
Who should attend?
Partners and senior managers in practice, especially those from ICAEW regulated firms who are concerned with the changes the profession faces, including practice assurance.
Course Content
Understanding and dealing with regulatory changes of Practice Assurance
Feedback from the QAD on both audit and non-audit Practice Assurance visits
Changes in the money laundering rules
The new CPD rules
The new ethical standards for auditors
Engagement and disengagement
Cold file reviews
Dealing successfully with a practice assurance visit
Implementing systems to improve compliance, client service and profitability
CPD:
3 Hours FEE:
£105 plus VAT or 1 ‘Block Booking Place’ (from
£52 plus VAT)
To book on this course please complete the form below, and an invoice will be sent to you for payment.
(* required fields)
Terms: A full refund (less 20% administration charge) will be made for cancellations received in writing or by email not less than 15 days prior to the course. Cancellations after this time are charged at the full fee or Block Places treated as utilised.