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Chapter 63 4
3.3 Procedures
Obtain a general understanding of the client's legal and regulatory environment.
Inspect correspondence with relevant licensing and regulatory authorities.
Enquire of management and those charged with governance as to whether the
entity is compliant with laws and regulation.
Remain alert to possible instances of non-compliance e.g. reading board
minutes, inspecting correspondence from lawyers and through performing
substantive procedures.
Obtain written representation that the directors have disclosed all instances of
known and possible non-compliance to the auditor.
3.4 Reporting of non-compliance
Those
Management charged with 3rd Shareholders
parties
governance
Communicate If the non- If there is a
the non- compliance is a duty to By modifying the
compliance on a deliberate act by report e.g. to auditor’s report
timely basis management a regulator
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