Concurrent Session Onsite and Online
GOV2213. Internal Control over Compliance: A Step-by-Step Approach
Building on the concepts learned in the previous Internal Controls in a Single Audit session, this session will focus on the process of identifying effective internal control over compliance and how the auditor decides whether a control is designed and implemented effectively.
Learning Objectives:
- Identify control objectives for each compliance requirement.
- Analyze compliance processes and controls within processes.
- Distinguish risks within processes ("what can go wrong" risks).
- Determine whether controls have been placed into operation and are operating effectively.
Date/Time
–
CPE Credits
1.0
NASBA Field of Study
Auditing (Governmental)
Level
Intermediate
Prerequisites
3-4 Years in the Profession