Broker-Dealers

A&A

PCAOB: Deficiencies Continued in 2013 Broker-Dealer Audits

Seventy-one of 90 broker-dealer audits inspected by the PCAOB in 2013 were found to have audit deficiencies or audit-independence issues, according to a new report released on Monday. Deficiencies were also found in 56 of 60 firms that conducted broker-dealer audits.

PCAOB Issues Audit Guidance on Brokers and Dealers

The staff guidance released on Thursday will help auditors of brokers and dealers registered with the SEC plan and perform audits under PCAOB standards as mandated by the Dodd-Frank Act and SEC rules.
A&A

Alert Highlights Big Changes for Audits of Broker-Dealers

A member alert issued by the Center for Audit Quality and the AICPA outlines regulatory changes for audits and attestation engagements of brokers and dealers and futures commission merchants that are effective June 1.
A&A

PCAOB Adopts Broker-Dealer Attest and Audit Standards

The Public Company Accounting Oversight Board (PCAOB) on October 10 approved two attestation standards and an auditing standard pertaining to audits of brokers and dealers.
A&A

Attestation Standards for Broker-Dealer Audits on PCAOB Docket

The Public Company Accounting Oversight Board (PCAOB) is expected to discuss adopting attestation standards for auditors of broker-dealers during an open meeting October 10.

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