Guidance on Implementation of Sections 60-63 of the Investments and Securities Act 2007

Securities and Exchange Commission Guideline
Summary

Guidance on public companies' internal control certification obligations under ISA 2007 ss.60-63: management assessment, auditor responsibilities and independence, identification of material weaknesses, and placement of the internal control report within annual financial statements. Issue date approximate.

Applicability

Public companies; auditors; directors

Open Source Document ↗
Document Details
Date Issued
01 Jan 2010
Date Effective
01 Jan 2010
Compliance Deadline
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