Auditing
Course 11457B · 2 hrs · CPA
Misconduct within financial institutions takes many forms—from governance failures in the boardroom to fraud by investment managers and manipulated stock option grants. This course examines all three, offering a comprehensive look at how internal bad actors operate and what enables their behavior. You'll explore the role of boards of directors in preventing banking misconduct, how investment manager fraud unfolds, and the mechanics and shareholder impact of options backdating. These topics are highly relevant for CPAs involved in audit, forensic accounting, or executive compensation work.
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NASBA Area: Auditing
CPE requirements: See your state's CPE requirements
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