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13 Resources for

attorney and financial accounting

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Power Of Attorney - Financial
A power of attorney is a document in which you state that you give someone else usually a relative or friend the authority to make certain decisions and act on your behalf. If you want that someone else should take all the financial decisions for some time you need to...
Tags: Financial, Attorney, FreeBusinessForms.com, Financial Accounting, Finance
Tools & templates 2007-12-01
SEC Adopts Final Attorney Conduct Rules
On January 29, 2003, the Securities and Exchange Commission ("SEC") adopted final rules implementing standards of professional conduct for attorneys pursuant to Section 307 of the Sarbanes- Oxley Act of 2002 ("SOX"). The final rules require that if an attorney, appearing and practicing before the SEC in the representation of...
Tags: Government, Financial Accounting, Finance, Human Resources, Policies And Procedures, Business Operations, U.S., Quality, Real Estate, Regulatory Compliance, Sarbanes-Oxley, Attorney, SEC, Regulations
White papers 2003-05-01
SEC Rules Under Sarbanes-Oxley Section 307
The Securities and Exchange Commission SEC seeks to streamline professional conduct for attorneys. It has issued rules governing professional responsibilities for attorneys. It also lays down ‘minimum standards’ of professional conduct for attorneys appearing or practicing before the SEC. These rules are contained in a recently passed Act. The paper...
Tags: Quality, Regulations, Government, Financial Accounting, Finance, Human Resources, Policies And Procedures, Business Operations, Regulatory Compliance, Sarbanes-Oxley, Attorney, SEC, Sarbanes-Oxley Act
Presentations 2003-02-14
SEC Adopts Final Rules of Conduct for Attorneys Under the Sarbanes-Oxley Act
This article contains that after receiving 167 timely filed comment letters to its controversial proposed rules, the SEC adopted final rules implementing Section 307 of the Sarbanes-Oxley Act. This report discusses some of the major components of the final SEC rules. It also contains features such as scope of the...
Tags: Regulatory Compliance, Regulations, Government, Financial Accounting, Finance, Human Resources, Policies And Procedures, Sarbanes-Oxley, Attorney, SEC, Sarbanes-Oxley Act
White papers 2003-02-13
SEC Adopts Final Rules Implementing Section 307 Of The Sarbanes-Oxley Act Of 2002
A recent Act adopted by Securities and Exchange Commission SEC seeks to streamline professional conduct for attorneys. It contains rules governing professional responsibilities for attorneys. It also lays down ‘minimum standards’ of professional conduct for attorneys appearing or practicing before the SEC. The paper examines these issues contained in the...
Tags: Policies And Procedures, Human Resources, Finance, Financial Accounting, Government, Regulatory Compliance, Sarbanes-Oxley, Attorney, SEC, Sarbanes-Oxley Act, Business Operations, Regulations, Quality
White papers 2003-02-14
SEC Adopts Standards of Professional Conduct for Attorneys Under Sarbanes-Oxley Act
Securities and Exchange Commission SEC has adopted standards of professional conduct for attorneys appearing and practicing before the SEC. In adopting these rules, as mandated by Section 307 of the Sarbanes-Oxley Act of 2002 the Act, the SEC recognized the important and expanding role of attorneys in their representation of...
Tags: Regulatory Compliance, Sarbanes-Oxley, Corporate Governance, Attorney, Standards, SEC, Sarbanes-Oxley Act, Corporate Law, Quality, Regulations, Business Operations, Government, Financial Accounting, Finance, Human Resources, Policies And Procedures
White papers 2003-02-05
SEC Final Rules Under Sarbanes-Oxley
This article highlights the provisions and the dates for compliance that boards and executives need to know about Sarbanes-Oxley Act. The focus is on issues such as: Audit committee financial expert, under section 407 rules mandates that public companies are required to disclose whether or not they have an audit...
Tags: Financial Accounting, Financial Expert, Attorney, Audit Committee, SEC, Sarbanes-Oxley Act, Financial, Audit, Sarbanes-Oxley, Finance, Regulations, Government
White papers 2003-02-01
SEC Adopts Final Rules Related to Professional Conduct for Attorneys
The SEC adopted final rules pursuant to Section 307 of the Sarbanes-Oxley Act, establishing standards of professional conduct for attorneys who appear and practice before the SEC on behalf of public companies. The new rules are contained in SEC Release No. 33-8185. Article explains the attorneys covered by the rules....
Tags: Sarbanes-Oxley, Regulatory Compliance, Quality, Regulations, Government, Financial Accounting, Finance, Human Resources, Policies And Procedures, Business Operations, SEC, Article, Attorney
White papers 2003-01-01
Attorneys Don't Get A Pass From Sarbanes-Oxley
From the executive summary: ‘As a part of sweeping corporate governance reforms mandated by the Sarbanes-Oxley Act of 2002, the Securities and Exchange Commission SEC adopted ethical rules for attorneys who represent public companies and their non-public subsidiaries. The SEC rules make it clear that “attorneys cannot get a pass”...
Tags: Financial Accounting, Government, Finance, Human Resources, Policies And Procedures, Business Operations, Corporate Law, Sarbanes-Oxley Act, Regulations, Regulatory Compliance, Sarbanes-Oxley, Attorney, SEC, Reed Elsevier Inc., Corporate Governance
White papers 2003-01-01
On the Brink of Bankruptcy: Assisting Clients in Financial Distress
The paper discusses that the problem with many bankruptcy filings is that the debtor is not being set up to get genuine relief. The debtor becomes a repeat customer because the debtor is not forced to make the hard decisions up-front. If a bankruptcy is unavoidable, then the attorney should...
Tags: Financial Accounting, Business Operations, Finance, Litigation, Attorney, Debtor, Bankruptcy, Financial
White papers 2003-01-01
The Sarbanes-Oxley Act of 2002 - Implications For Corporate Officers and directors
The Sarbanes-Oxley Act of 2002 (also known as the Public Company Accounting Reform and Investor Protection Act of 2002) (the “Act”) was signed into law on July 30, 2002 ostensibly in response to the recent financial debacles of certain public companies. The Act was designed primarily as a prophylactic measure...
Tags: Business Operations, Policies And Procedures, Human Resources, Regulations, Financial Accounting, Litigation, Regulatory Compliance, Sarbanes-Oxley, Investor Protection Act, Attorney, Fraud, SEC, Finance, Government, Sarbanes-Oxley Act, Financial
White papers 2003-01-01
Implementation Of Standards of Professional Conduct For Attorneys Required By Section 307 Of The Sarbanes-Oxley Act
Article focuses on the proposed rule of implementing the standards of professional conduct for attorneys required by section 307 of the Sarbanes-Oxley Act. It provides the information related to different section considered under the Act such as : Section 205.3: Issuer as Client Section, 205.4: Responsibilities of Supervisory Attorneys, ...
Tags: Quality, Human Resources, Business Operations, Policies And Procedures, Regulatory Compliance, Finance, Financial Accounting, Government, Regulations, Sarbanes-Oxley, Attorney, Standards, Sarbanes-Oxley Act
White papers 2002-12-06
Congress Mandates Code Of Conduct For Attorneys Representing Public Companies Before The SEC
In enacting the Sarbanes-Oxley Act of 2002, Congress mandated that the Securities and Exchange Commission the SEC issue rules that would require private attorneys who represent public companies in any manner before the SEC to report violations of the securities laws or breaches of fiduciary duties or “similar violations” to...
Tags: Financial Accounting, Corporate Governance, Attorney, Code Of Conduct, U.S. Congress, SEC, Audit, Business Operations, Corporate Law, Finance
White papers 2002-09-10

Additional Resources

Axis Technologies Completes Audits and Files Form 10 With SEC for Move to OTCBB
Axis Technologies Group, Inc. (PINKSHEETS: AXTG), a green technology designer, manufacturer and marketer of aproprietary line of energy saving and daylight harvesting electronicdimming ballasts for the commercial lighting industry, announced today thatthe company has completed an extensive audit of their 2007 financialstatements and have submitted their Form 10 to the...
Articles 2008-08-20
Media Alert: Domestic Corporate Counsel Unite with the Association of Corporate Counsel to Protest Proposed Disclosure Rules
ACC Files Comments Critical of FASB 5, Citing Serious Concerns that Amendment Would Do More Harm than Good WASHINGTON -- The Association of Corporate Counsel ACC, joined by General Counsel and senior attorneys from more than 50 leading companies, today filed comments addressing serious concerns that the Financial...
Articles 2008-07-25
Telos wins another round in Baltimore City Circuit Court
Defense contractor Telos Corp. was jubilant this spring, when it defeated a $79 million lawsuit challenging the actions of its board and management. It didn't have long to celebrate, though. One day after the April 15 ruling in Baltimore City Circuit Court,...
Articles 2008-07-10
Planning can prevent errors, family strife
Elder-law attorneys here say people make avoidable, but all-too-common mistakes in planning their estates. Asked how frequently such problems and pitfalls crop up, Spokane attorney Karen Sayre gives a succinct answer. "I'm thinking about the people I've seen just in the last couple of days," she says. ...
Articles 2008-07-10
Refusing to pay insurance is abuse
Dear Annie: Is financially cutting off your spouse and refusing to put her on your medical insurance a form of abuse? Three years ago, I found out my husband was embezzling funds from our joint accounts by purchasing items for work, getting reimbursed...
Articles 2008-07-09
Sycamore Networks SN 9000 Intelligent Multiservice Switch Completes DISA Joint Interoperability Assessment Testing
Latest Milestone Expands Company's Portfolio of JITC-Approved Optical Networking Solutions CHELMSFORD, Mass. -- Sycamore Networks, Inc. (NASDAQ: SCMR), a leading provider of intelligent bandwidth management solutions for network operators worldwide, today announced that its SN 9000 Intelligent Multiservice Switch has successfully completed rigorous interoperability testing...
Articles 2008-07-09
BOS Announces a $ 1,000,000 Private Placement of Ordinary Shares and a Change in Board Composition
RISHON LEZION, Israel -- B.O.S. Better Online Solutions Ltd. ("BOS" or the "Company") (NASDAQ:BOSC) (TASE:BOSC) a leading provider of comprehensive Mobile and RFID solutions for the Enterprise and for Supply Chain Solutions, announced today that it has entered into a definitive private placement agreement with three foreign...
Articles 2008-07-09
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