Amendment Resources | BNET
On MP3.com: Check out the latest music videos

Resources

23 Resources for

Amendment

  • Subscribe to this listing via:
  • RSS
  • Email
Did you mean First Amendment (6 results)

BNET Resources

Acknowledgement Of Amendment To Solicitation/Modification Of Contract
This template is for Acknowledgement of amendment to solicitation/modification of contract.
Tags: Microsoft Corp.
Tools & templates
Amendment To Lease
This is a template for amendment of lease. Landlords can make a written amendment to the lease between you and your tenant with this template.
Tags: tenant
Tools & templates 2007-12-01
Amendment Of Lease
This is template for Amendments of lease. If one wants revise the agreement of lease he or she can use this template. It could be used as per the particular situation.
Tags: agreement
Tools & templates 2007-12-01
Hunting Season: Feds Try to Protect the Little Guy From Payroll Tax Predators
In the first and, so far, last instance of the IRS and the Justice Department taking a payroll company to court, a federal court in Salt Lake City issued a preliminary injunction in April 2003 appointing a receiver to shut down a company called Provident Management Group. Provident allegedly failed...
Tags: Operational accounting, payroll solutions, Gale Group, payroll, Internal Revenue Service, agent
White papers 2004-09-01
Excluding Officers and Directors From Workers’ Comp Promises Savings in Insurance Premiums
On October 23, 2002, a significant change to the Massachusetts workers’ compensation statute went into effect. Under Massachusetts General Laws, c. 152, §1(4), an officer, or director of a corporation who owns at least 25% of the issued and outstanding shares of that corporation may elect to be exempted from...
Tags: Benefits, Massachusetts, compensation, worker, regulation, small business owner, small business, insurance
White papers 2003-12-01
Amendments To Rule 10b-18 Under The Securities Exchange Act Of 1934
Rule 10b-18 (the “Rule”) under the Securities Exchange Act of 1934 (the “Exchange Act”), provides issuers with a “safe harbor” from liability for stock market price manipulation under Sections 9a(2) and 10b of the Exchange Act and Rule 10b-5 under the Exchange Act, solely by reason of the manner, timing,...
Tags: Regulations, Mergers & Acquisitions, Securities Exchange Act, Safe Harbor, commission, merger, acquisition, security
White papers 2003-10-20
Amendments Custody Rule For Investment Advisors
The SEC has issued amendments to modernize the custody rule under the investment advisor act of 1940. The SEC indicated that the amendment are intended to enhance protections for advisory clients assets, harmonize the custody rule with current custodial practices and clarify the circumstances under which advisors will be deemed...
Tags: Investment, SEC, mutual fund, advisor, asset
White papers 2003-10-20
Regulation G and Non-GAAP Financial Measures and Rules
Recently, the Securities and Exchange Commission (the "Commission") issued Securities Act Release 33-8176 (Securities Exchange Act Release No. 34-47226) that adopts final rules relating to the use of pro forma financial information by companies in earnings announcements and Commission filings. The new rules require companies to "furnish" their published annual...
Tags: Sales force management, Financial accounting, Reed Elsevier Inc., earnings announcement, commission, earnings, Securities Exchange Act, non-GAAP, financial
White papers 2003-07-10
Conditions For use of Non-GAAP Financial Measures
The Securities and Exchange Commission SEC, as directed by the Sarbanes-Oxley Act of 2002, adopted on January15, 2003, new rules and amendments the Rule to address public companies’ disclosure or release of certain financial information that is calculated and presented on the basis of methodologies other than in accordance with...
Tags: Financial accounting, Deloitte & Touche, non-GAAP, SEC, EBIT, EBITDA, GAAP, SEC filing, financial, Sarbanes-Oxley Act
White papers 2003-07-01
New SEC Rule and Amendments Address Proxy Voting Requirements for Investment Advisers
The Securities and Exchange Commission recently adopted Rule and amendments to Rule under the Investment Advisers Act of, as amended that address an investment adviser's fiduciary obligation to clients who have given the adviser the authority to vote their proxies. The effective date for the Rule and amendments is March...
Tags: advisor, SEC
White papers 2003-03-11
Disclosure in Management’s Discussion and Analysis about Off-Balance Sheet Arrangements and Aggregate Contractual Obligations
"On January 22, 2003, the SEC, as instructed by Section 401a of the Act, adopted amendments to require the disclosure of off-balance sheet arrangements. The amendments require a registrant to provide an explanation of its off-balance sheet arrangements in a separately captioned subsection of the MD&A contained in...
Tags: MD&A, Securities Exchange Act, small business, analysis
White papers 2003-02-04
Disclosure in Management's Discussion and Analysis about Off-Balance Sheet Arrangements and Aggregate Contractual Obligations
On January 27, 2003, the Securities and Exchange Commission adopted Securities Act Release, addressing disclosure in Management's Discussion and Analysis, or MD&A, about off balance sheet arrangements and aggregate contractual obligations. For this various amendments were made. The amendments require public companies to provide an explanation of their off-balance sheet...
Tags: Financial statements, Financial accounting, MD&A, annual reports, financial statement, analysis, financial
White papers 2003-01-30
SEC Adopts New Rules to Address the Conditions for Use of Non-GAAP Financial Information Under Section 401(b) of Sarbanes-Oxley Act
On January 22, 2003, the Securities and Exchange Commission issued Securities Act Release. This release adopts new regulation G, amendments to Item 10 of regulation S-K and Item 10 of Regulation S-B, amendments to form 20-F, and amendments to form 8-K. The new regulation and related amendments were adopted to...
Tags: Regulations, GAAP, regulation, SEC, non-GAAP, Sarbanes-Oxley Act, financial
White papers 2003-01-24
Conditions For Use Of Non-GAAP Financial Measures-Securities And Exchange Commission
As directed by the Sarbanes-Oxley Act of 2002, the new rules and amendments to address public companies' disclosure or release of certain financial information that is calculated and presented on the basis of methodologies other than in accordance with generally accepted accounting principles GAAP. A new disclosure regulation, Regulation G,...
Tags: Financial accounting, SEC, non-GAAP, GAAP, financial, commission, Sarbanes-Oxley Act
White papers 2003-01-22
Sarbanes-oxley Act Of 2002-Conference Report
"The committee of conference on the disagreeing votes of the two Houses on the amendment of the Senate to the bill (H.R.3763), to protect investors by improving the accuracy and reliability of corporate disclosures made pursuant to the securities laws, and for other purposes, having met, after full and free...
Tags: U.S. Senate, conference, Sarbanes-Oxley Act
White papers 2003-01-01
Ownership Reports And Trading By Officers, Directors And Principal Security Holders
Rule and form amendments have been adopted to implement the accelerated filing deadline which are applicable to change of beneficial ownership reports under Section 16a of the Securities Exchange Act of 1934, as amended by the Sarbanes-Oxley Act of 2002. The amendments are intended to facilitate the statutory changes, which...
Tags: Regulations, SEC, Securities Exchange Act, electronic filing, RFC, Sarbanes-Oxley Act, benefit, Web site, security
White papers 2003-01-01
Acceleration Of Periodic Report Filing Dates And Disclosure Concerning Website Access To Reports
This article provides amendments to rules and forms to accelerate the filing of quarterly and annual reports under the Securities Exchange Act. The changes for these accelerated filers will be phased-in over three years. The phase-in period will begin for accelerated filers with fiscal years ending on or after December...
Tags: Financial statements, Web site development, SEC, annual reports, Securities Exchange Act, investor, Web site
White papers 2003-01-01
Sarbanes-Oxley Act of 2002, Notice of Blackout Rules Applicable to All Individual Account Plans
The Sarbanes-Oxley Act was signed into law by President Bush on July 30, 2002. One of the features of the law is to amend ERISA § 101i (29 U.S.C. § 1021i). The amendment is effective January 26, 2003.
Tags: Sarbanes-Oxley, Regulatory compliance, Regulations, Sarbanes-Oxley Act, ERISA
White papers 2002-11-01
Acceleration of Periodic Report Filing Dates and Disclosure Concerning Website Access to Report
On September 5, 2002, the Securities and Exchange Commission issued a final rule concerning Acceleration of Periodic Report Filing Dates and Disclosure Concerning Website Access to Reports. The effective date of the amendments will be sixty days after publication in the Federal Register, or approximately November 10, 2002. The amendments...
Tags: Financial statements, Web site development, annual reports, board of directors, compliance, commission, Web site, Internet, board
White papers 2002-09-01
Offshore Update
The article describes offshore U.S. terrorism risk insurance. As reported by IADC in its August Drill Bits, the U.S. Congress has been deliberating the Terrorism Risk Insurance Act of 2002, (S.2600), which would provide the insurance industry additional security in the wake of the September 11 attacks. Lloyd's of London...
Tags: Outsourcing, WorldOil.com, offshore, Terrorism Risk Insurance Act, terrorism, API, insurance, security
White papers 2002-09-01