An Update of the SEC's Financial Reporting and Disclosure Requirements
Overview
Oversight by the SEC of public company financial reporting is critical in maintaining an efficient market for investors by providing accurate and truthful information about reporting entities, the securities they are selling, and the risks involved in investing. This course is designed to provide participants with an Update of the laws that govern the securities industry including the financial reporting and disclosure requirements established by the Securities Act of 1933 and the Securities Exchange Act of 1934 as amended. This program will make extensive use of the SEC’s Financial Reporting Manual for the selection of program topics. This program was developed and will be presented from the perspective of the practitioner preparing and disclosing public company financial information necessary to comply with SEC regulations. Public company disclosure examples will be illustrated throughout this program.
Prerequisites
Basic knowledge of U.S. GAAP
Designed For
All CPAs, accountants, and financial professionals in industry and public practice.
Objectives
- Describe the securities laws that regulate the issuance and trading of securities
- Identify and describe the filing requirements for form S-1 for registration statements
- Identify and describe the filing requirements for forms 10-Q, 10-K, and 8-K
- Apply the guidance in the SEC's Financial Reporting Manual to selected topics of more relevance to practitioners
Notice
“Adding to Calendar” does not register you for this event. Please either register online by clicking “Add to Cart” or contacting OSCPA at 503-641-7200 / 800-255-1470, ext. 3. Thank you!
Non-Member Price $399.00
Member Price $299.00