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2024 Was It Fraud or Just Poor Audit Quality?

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Webinar

1.50 Credits

Member Price $59.00

Non-Member Price $79.00

Overview

This session describes a state agency's quality review of a not-for-profit organization's A-133 Single Audit.  The case study describes the organization audited, its federally- and state-funded programs, and the CPA firm retained to do the audit.  Various anomalies in the financial statements alerted state officials to potential problems, and a detailed quality review followed.  Find out how the entity turned hundreds of thousands of dollars in bank overdrafts into hundreds of thousands of dollars of cash on its balance sheet.  Explore other “creative” ways to deal with fixed assets, accounts receivable, and related-party transactions.  Were the auditors just sloppy, ignorant, negligent?  Or were they active participants in producing fraudulent financial statements?  You be the judge.

Highlights

  • Financial statement manipulation
  • Ethics enforcement process
  • Auditor conflicts of interest

Prerequisites

None

Designed For

Accountants and auditors at all levels

Objectives

  • How easily financial statements can be manipulated
  • How checklist auditing is dangerous
  • Consequences for poor or negligent audit work
  • The importance of auditor objectivity and independence

Preparation

None

Notice

This course is offered by a 3rd party vendor and will not be accessible in the My CPE Tracker section of the ISCPA website. Course access information will be emailed directly to you by Accounting Continuing Professional Education Network (ACPEN).

Leader(s):

Leader Bios

David Cotton, Cotton & Company LLP

Dave Cotton has served as Cotton & Company’s managing partner since the firm’s founding in 1981 until July 2006. In July 2006, with the election of two new managing partners, he became the firm’s first chair. Dave served on the Advisory Council on Government Auditing from 2006 to 2009. He served on the Institute of Internal Auditors (IIA) Anti-Fraud Programs and Controls Task Force and co-authored Managing the Business Risk of Fraud; A Practical Guide. Dave also served on the American Institute of CPA’s (AICPA) Anti-Fraud Task Force and co-authored Management Override: The Achilles Heel of Fraud Prevention. He is the past-chair of the AICPA Federal Accounting and Auditing Subcommittee and has served on the AICPA Governmental Accounting and Auditing Committee and the Government Technical Standards Subcommittee of the AICPA Professional Ethics Executive Committee. Dave also chaired the Fraud Risk Management Task Force, sponsored by COSO and the ACFE and is a principal author of the COSO-ACFE Fraud Risk Management Guide. He currently serves on the AICPA’s Performance Audit Standards Task Force. Dave served on the board of the Virginia Society of Certified Public Accountants (VSCPA), and on the VSCPA Litigation Services Committee, Professional Ethics, Quality Review and Governmental Accounting and Auditing committees. He is a member of the Association of Government Accountants (AGA) and is past-advisory board chairman and past-president of the AGA Northern Virginia Chapter. Dave is also a member of the Institute of Internal Auditors and the Association of Certified Fraud Examiners. Dave has testified as an expert in governmental accounting and auditing issues and fraud issues before the U. S. Court of Federal Claims and other administrative and judicial bodies. He makes frequent presentations on professional ethics and fraud topics. Dave has instructed for the George Washington University Master of Accountancy program (Fraud Examination and Forensic Accounting) and for the George Mason University Small Business Development Center (Fundamentals of Accounting for Government Contracts). Dave was the recipient of the AGA’s 2006 Barr Award and the AGA’s 2012 Educator Award.

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Non-Member Price $79.00

Member Price $59.00