Sarbanes-Oxley & Enterprise Governance Developments
October 20, 2010 by · 3 Comments
Sarbanes-Oxley & Enterprise Governance Developments
Newsletter focusing on news and papers on Sarbanes-Oxley law compliance, regulatory issues, and enterprise governance developments.
Price: $ 125.00
Essentials of Sarbanes-Oxley (Essentials Series)
- ISBN13: 9780470056684
- Condition: USED – Acceptable
- Notes: BUY WITH CONFIDENCE, Over one million books sold! 98% Positive feedback. Compare our books, prices and service to the competition. 100% Satisfaction Guaranteed
* What is the importance of Sections 302 and 404?
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“Implementing” SOX using COSO and COBIT
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SOX’s impact on foreign companies andnonprofits
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Achieving cost-effective sustainable compliance
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The evolving role of the SEC and the PCAOB
Praise for ESSENTIALS OF SARBANES-OXLEY
“Since its enactment in 2002, the Sarbanes-Oxley Act and its Section 404 internal control requirements have caused many a great deal of ‘pain and suffering!’ With its emphasis on what Sanjay Anand frequently reminds us is the ‘real world,’ this book should reduce some of that pain as it provides a practical and very realistic approach for an effective implementation of Sarbanes-Oxley internal control processes. The book has references to the new changes in auditing standards and emphasizes achieving sustainable compliance-practical and realistic approaches.”
-Robert R. Moeller
President, Compliance & Control Systems, Inc.
“Sanjay Anand has provided what every busy executive needs, a concise overview of Sarbanes-Oxley Act essentials. His book is a terrific reference text that I recommend to anyone who needs to quickly understand the substance of the Act.”
-Scott Green
Chief Administration Officer Weil, Gotshal & Manges LLP
“If you are looking to put together the various pieces-finance, accounting, audit, legal, IT, ethics-and understand the ‘big picture’ of the Sarbanes-Oxley Act, there is no other book like this. With ‘Tips & Techniques’ and ‘In the Real World’ examples, this book brings lively, practical, tangible, and compressible dimensions to a complex, multifaceted (and often dry) subject. This is essential reading for those new to the process and old hands going into their third and fourth years of SOX. It will also help those in other countries adopting SOX-like internal controls and regulations.”
-Dr. Anthony Tarantino
Governance, Risk, and Compliance Center of Excellence
IBM, Financial Services Sector, Silicon Valley and New York City
Written by Sanjay Anand, one of the world’s leading corporate governance, risk management, and regulatory compliance experts, this simple to use book is designed with appreciation for demanding professional obligations, with information always easy to find and at your fingertips. Essentials of Sarbanes-Oxley equips you with the knowledge you and all your company members need to initiate a SOX project, allocate a budget, and help your company achieve compliance.
Rating:
(out of 3 reviews)
List Price: $ 34.95
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Sarbanes-Oxley for Small Businesses: Leveraging Complia| US $5.10 End Date: Friday Feb-10-2012 0:32:37 PST Buy It Now for only: US $5.10 Buy it now | Add to watch list |
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Litigation Services Handbook: The Role of the Financial Expert
April 12, 2010 by · 2 Comments
Product Description
In the last twenty years, the need for a financial expert to act as a witness and consultant to litigating attorneys has grown even more than litigation itself. This handbook includes all aspects of litigation services, including current environments, the process itself, a wealth of cases, how to prove damages, and practical considerations of court appearances. It thoroughly covers the fine points of trial preparation and testimony presentation. Also, discussion is offered for understanding Sarbanes-Oxley rulings and fraud investigations. Accountants and attorneys working in litigation will benefit from this book.
Order from Amazon TODAY —> Litigation Services Handbook: The Role of the Financial Expert
Financial Statement Fraud: Prevention and Detection
April 4, 2010 by · 1 Comment
Product Description
Practical examples, sample reports, best practices and recommendations to help you deter, detect, and prevent financial statement fraud
Financial statement fraud (FSF) continues to be a major challenge for organizations worldwide. Financial Statement Fraud: Prevention and Detection, Second Edition is a superior reference providing you with an up-to-date understanding of financial statement fraud, including its deterrence, prevention, and early detection.
You will find
- A clear description of roles and responsibilities of all those involved in corporate governance and the financial reporting process to improve the quality, reliability and transparency of financial information.
- Sample reports, examples, and documents that promote a real-world understanding of incentives, opportunities, and rationalizations
- Emerging corporate governance reforms in the post-SOX era, including provisions of the SOX Act, global regulations and best practices, ethical considerations, and corporate governance principles
- Practical examples and real-world “how did this happen” discussions that provide valuable insight for corporate directors and executives, auditors, managers, supervisory personnel and other professionals saddled with anti-fraud responsibilities
- Expert advice from the author of Corporate Governance and Ethics and coauthor of the forthcoming Wiley textbook, White Collar Crime, Fraud Examination and Financial Forensics
Financial Statement Fraud, Second Edition contains recommendations from the SEC Advisory Committee to reduce the complexity of the financial reporting process and improving the quality of financial reports.
Order from Amazon TODAY —> Financial Statement Fraud: Prevention and Detection
The Audit Committee Handbook
April 4, 2010 by · 1 Comment
Product Description
The Audit Committee Handbook,
Fifth Edition
The classic handbook to audit committee responsibilities—completely updated to cover the latest guidance with practical insights on the new functions of the audit committee.
Now containing the newest regulatory guidance impacting audit committees, including new chapters on audit oversight and updated discussions on fraud risk, the Fifth Edition helps your audit committee plan its agenda and achieve its mission in corporate governance.
The Audit Committee Handbook, Fifth Edition guides you to:
- Understand the role and responsibilities of the audit committee with a general update and reality check on auditing cycle activities
- Identify the developments that impact audit committee practices and the most current techniques and strategies for committee meetings
- Develop a repertoire of effective strategies to help the board of directors discharge its fiduciary responsibility to shareholders
- Prepare a periodic assessment of professional development activities and an informed review of both audit processes and financial reporting processes
A must-have for all audit committee members, board directors, corporate secretaries, CEOs, CFOs, and auditors involved in the accounting practices of their firms, The Audit Committee Handbook, Fifth Edition is the most authoritative work on audit committees in the marketplace.
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Corporate Governance-Sarbanes-Oxley (SOx) Act and More
April 2, 2010 by · Leave a Comment
Product Description
he Sarbanes-Oxley Act was enacted by Congress in response to the major corporate, accounting and document destruction scandals that rocked the stock markets recently. To restore investor confidence, the act establishes a framework for corporate accountability, including strict new standards and penalties for violations in the areas of corporate governance, disclosures, audits, financial reporting and conflicts of interest. Although originally enacted only for public companies, the act is quickly becoming the “standard of care” for privately owned and not-for-profit companies, including health care organizations. The IRS and the Office of Inspector General are rapidly adopting the acts principles to raise the bar regarding corporate governance and management accountability, examining the independence of boards of directors, audit committees, the effectiveness of compliance programs for reporting information to management and directors, policies and procedures for document retention and destruction and treatment of whistleblowers in a company. This manual will review the act’s requirements and penalties, give practical solutions to assist in compliance with the act and the standards it has set for management and directors and examine the impact of the act on directors’ and officers’ liability insurance. In addition, this manual will provide attorneys with valuable information on the changes in ethical obligations due to Sarbanes-Oxley and their impact on the attorney client relationship. A special addition to this manual is the panel discussion by former government officials on effective responses to investigations in the era of heightened scrutiny of business practices.
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