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2014

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Regulations governing practice before the Internal Revenue Service; Treasury Department circular 230 (Rev. 6-2014), United States. Internal Revenue Service

2011

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Regulations governing practice before the Internal Revenue Service; Treasury Department circular 230 (Rev. 8-2011), United States. Internal Revenue Service

2008

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Regulations Governing the Practice of Attorneys, Certified Public Accountants, Enrolled Agents, Enrolled Actuaries, Enrolled Retirement Plan agents, and Appraisers before the Internal Revenue Service; Treasury Department Circular no. 230 (Rev. 4-2008), United States. Internal Revenue Service

2002

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Regulations Governing the Practice of Attorneys, Certified Public Accountants, Enrolled Agents, Enrolled Actuaries, and Appraisers before the Internal Revenue Service; Treasury Department Circular no. 230 (Rev. 7-2002), United States. Internal Revenue Service

1999

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Government auditing standards. Amendment no. 1 : documentation requirements when assessing control risk at maximum for controls significantly dependent upon computerized information systems, United States. General Accounting Office

1994

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Government auditing standards. 1994 revision; Yellow book. 1994 revision, United States. General Accounting Office

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Regulations governing the practice of attorneys, certified public accountants, enrolled agents, enrolled actuaries, and appraisers before the Internal Revenue Service : 31 Code of Federal Regulations, subtitle A, part 10, revised as of July 1, 1994; Circular 230 (Rev. 7-94), United States. Internal Revenue Service

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Staff report on auditor independence, March 1994, United States. Securities and Exchange Commission. Office of the Chief Accountant

1990

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United States of America Before Federal Trade Commission: In the Matter of American Institute of Certified Public Accountants, a Corporation - Docket No. C3297 - Complaint and Order, United States. Federal Tradey Commission

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Bank accounting advisory series, Issue no. 1, United States. Office of the Comptroller of the Currency

1988

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Government auditing standards. 1988 revision; Yellow book. 1988 Revision, United States. General Accounting Office

1986

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Financial management: how to make a go of your business, Linda Howarth Mackay

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Regulations governing the practice of attorneys, certified public accountants, enrolled agents, enrolled actuaries, and appraisers before the Internal Revenue Service : 31 Code of Federal Regulations, subtitle A, part 10, as amended through February 23, 1984 and changes appearing in the Federal Register dated October 17, 1985 (vol. 50, no. 201) and in the Federal Register dated January 26, 1986 (vol. 51, no. 14); Circular 230 (Rev. 3-86), United States. Internal Revenue Service

1985

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Financial recordkeeping for small stores, Robert C. Ragan and M. Zafar Uqbal

1981

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Standards for audit of governmental organizations, programs, activities, and functions. 1981 revision; Yellow book. 1981 revision, United States. General Accounting Office

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Handbook of small business finance (1981), Jack Zwick

1979

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Regulations governing the practice of attorneys, certified public accountants, enrolled agents, and enrolled actuaries before the Internal Revenue Service; 31 Code of Federal Regulations, Subtitle A, Part 10, Revised as of July 1, 1978 and changes as announced in the Federal Register dated January 24, 1979 (Vol. 44, No. 17); Treasury Department Circular no. 230 (Revised 6-79) Circular 230 (Revised 6-79), United States. Internal Revenue Service

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Presentation in financial statements of redeemable preferred stocks, United States. Securities and Exchange Commission

1978

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Uniform system of accounts prescribed for electric borrowers of the Rural Electrification Administration, United States. Rural Electrification Administration

1977

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Guide for audits of Head Start program grants, United States. Department of Health, Education, and Welfare. Audit Agency

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Management audit for small retailers, John Williams Wingate and Elmer O. Schaller

1976

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Management audit for small service firms, Phyllis A. Barker, David H. Hovey, and John J. Murphy

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Progress report to the Congress 1976 (including aggregated disclosure statement responses), United States. Cost Accounting Standards Board

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Guide for State and local government agencies: cost principles and procedures for establishing cost allocation plans and indirect cost rates for grants and contracts with the Federal government, United States. Department of Health, Education, and Welfare. Division of Financial Management Standards and Procedures

1975

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Using auditing to improve efficiency & economy: a case study of an efficiency and economy audit of a local government activity, United States. General Accounting Office

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Accounting for treasury stock at cost, instructions for transactions with affiliates and charges to be just and reasonable (49 C.F. R. 1201-1210) no. 36057, United States. Interstate Commerce Commission

1973

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Accounting for catastrophe reserves, United States. Securities and Exchange Commission

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Discussion of development of an adequate economic data base with respect to mutual fund sales charges in connection with hearings on mutual fund distribution and the potential impact of the repeal of Section 22(d) of the Investment Company Act of 1940, United States. Securities and Exchange Commission

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Financial statements of life insurance companies, United States. Securities and Exchange Commission

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Notice of adoption of amendments to forms 8-K, 10-K, 12-K, S-1, S-7, S-8, S-9, S11, 10 and 12 Requiring increased disclosure of unusual charges and credits to income, United States. Securities and Exchange Commission

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Notice of adoption of amendment to regulation S-X deferring effective date of Rule 5-02-1 as it relates to disclosure of compensating balances, United States. Securities and Exchange Commission

1972

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Standards for audit of governmental organizations, programs, activities and functions; Yellow book. 1972 edition, United States. General Accounting Office

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Disclosure of contingent liabilities arising under the Economic Stabilization Act of 1970, United States. Securities and Exchange Commission

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Independence of accountants: Guidelines and examples of situations involving the independence of accountants, United States. Securities and Exchange Commission

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In the matter of Barry L. Kessler, 267 South Drexell, Columbus, Ohio, rules of practice - Rule 2(e): Order accepting resignation from Commission practice, United States. Securities and Exchange Commission

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In the matter of Martin L. Sanchez, 300 North Center Street, Casper, Wyoming: Rules of Practice - Rule 2(e): Notice that initial decision has become final, United States. Securities and Exchange Commission

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In the matter of Robert Trivison, 8148 Forest Court, North Royalton, Ohio, Rules of Practice - Rule 2(e): Order accepting resignation from Commission practice, United States. Securities and Exchange Commission

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Notice of adoption of amendments to regulation S-X, United States. Securities and Exchange Commission

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Notice of adoption of revision of article 9 of regulation S-X, United States. Securities and Exchange Commission

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Pooling-of-interests accounting, United States. Securities and Exchange Commission

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Pro rata stock distributions to shareholders, United States. Securities and Exchange Commission

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Standing audit committees composed of outside directors, United States. Securities and Exchange Commission

1971

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Computation of ratio of earnings to fixed charges, United States. Securities and Exchange Commission

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Coverage of fixed charges, United States. Securities and Exchange Commission

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Notice of revision of annual report form N-1R for management investment companies and withdrawal of proposal to amend rule 30a-1, United States. Securities and Exchange Commission

1970

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Starting and managing a small retail music store; Starting and Managing series volume 20, Ray S, Erlandson

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Adoption of article 11A of regulation S-X, United States. Securities and Exchange Commission

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Certification of financial statements, United States. Securities and Exchange Commission

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Disclosure concerning restricted securities, United States. Securities and Exchange Commission

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Regulation S-X: form and content of financial statements as in effect October 14, 1970, United States. Securities and Exchange Commission

1969

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Adoption of amendments to regulation S-X and to forms 10 and 10-K to revise the exemption from certification of financial statements of banks filed under the Securities Act of 1933 and the Securities Exchange Act of 1934, United States. Securities and Exchange Commission

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Restricted securities, United States. Securities and Exchange Commission

1968

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Uniform system of accounts prescribed for natural gas companies (class A and B, C, and D) subject to the provisions of the Natural Gas Act in effect on September 1, 1968, United States. Federal Power Commission

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Amendment to rule 1-01 of article 1 of regulation S-X, United States. Securities and Exchange Commission

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Independence of accountants examining a non-material segment of an international business, United States. Securities and Exchange Commission

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In the matter of Meyer Weiner, a certified public accountant: Order, United States. Securities and Exchange Commission

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Regulation S-X: form and content of financial statements as in effect September 1, 1968, United States. Securities and Exchange Commission

1967

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In the matter of Edwin Aronowitz, Silver Spring, Md.: Order, United States. Securities and Exchange Commission

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In the matter of Nicolas J. Raftery, a certified publc accountant: Order, United States. Securities and Exchange Commission

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Net capital requirements for brokers and dealers -- Interpretation and guide, United States. Securities and Exchange Commission

1966

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Total package procurement concept; Basis for analysis of the total package procurement concept, United States. Air Force

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Uniform system of accounts for pipe line companies prescribed by the Interstate Commerce Commission in accordance with Section 20 of the Interstate Commerce Act, issue of 1965, United States. Interstate Commerce Commission

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Adoption of revisions of the uniform system of accounts for mutual service companies and subsidiary service companies, under the Public Utility Holding Company Act of 1935, to permit orderly destruction of certain records of service companies, United States. Securities and Exchange Commission

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In the matter of Homer E. Kerlin: File no. 4-121; Rules of practice - rule 2(e): Order accepting withdrawal from practice and dismissing proceedings; Report of staff investigation with respect to preparation and certification by a firm of certified public accountants of financial statements of Olen Company, Inc. and its successor, the Olen Division of H. L. Green Company, Inc., United States. Securities and Exchange Commission

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In the matter of John C. Hurdman d/b/a Hurdman and Comapny: Order, United States. Securities and Exchange Commission

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Nature of the examination and certificate required by paragraph (a)(5) of rule 206(4)-2 under the investment advisers act of 1940, United States. Securities and Exchange Commission

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Regulation S-X: form and content of financial statements as in effect August 1, 1966, United States. Securities and Exchange Commission

1965

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Balance sheet classification of deferred income taxes arising from installment sales, United States. Securities and Exchange Commission

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In the matter of Morton I. Myers: File no. 4-100: Rules of practice - Rule 2(e): Order readmitting accountant to practice before Commission, United States. Securities and Exchange Commission

1964

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Adoption of article 7A and rule 12-31 of regulation S-X, United States. Securities and Exchange Commission

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In the matter of Roberts & Morrow: File no. 4-120: Rule 2(e), rules of practice: Order dismissing proceedings, United States. Securities and Exchange Commission

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Regulation S-X: form and content of financial as amended to October 15, 1964, United States. Securities and Exchange Commission

1963

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Management audit for small manufacturers, Philip M. Faucett

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Accounting for the Investment Credit, United States. Securities and Exchange Commission

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In the matter of Harmon R. Stone: File no. 4-114: Rule 2(e), Rules of Practice: Findings and opinion of the Commission, United States. Securities and Exchange Commission

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Maintenance of records of transactions by broker-dealers as underwriters of investment company shares, United States. Securities and Exchange Commission

1962

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List of units of property for use in connection with uniform system of accounts prescribed for public utilities and licensees. Effective January 1, 1961, United States. Federal Power Commission

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Accounting for real estate transactions where circumstances indicate that profits were not earned at the time the transactions were recorded, United States. Securities and Exchange Commission

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Adoption of form 11-K and rule 15d-21 and amendments to form 10-K and regulation S-X, United States. Securities and Exchange Commission

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Certification of income statements, United States. Securities and Exchange Commission

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In the matter of Arthur Levison and Levison and Company: file no. 4-99: Rules of practice - rule 2(e): Findings and opinion of the Commission, United States. Securities and Exchange Commission

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In the matter of Morton I. Myers: File no. 4-100: Rules of practice - Rule 2(e): Findings and opinion of the Commission, United States. Securities and Exchange Commission

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In the matter of Nathan Wechsler: File no. 4-110: Rules of practice - rule 2(e): Order, United States. Securities and Exchange Commission

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Regulation S-X: form and content of financial statements as in effect July 15, 1962, United States. Securities and Exchange Commission

1961

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Handbook of small business Finance (1961), Ralph B. Tower and United States. Small Business Administration

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In the matter of Bollt and Shapiro, Theodore Bollt and Bernard L. Shapiro: File no. 4-92, Rule II(e) - Rules of Practice: Order readmitting accountant to practice before Commission, United States. Securities and Exchange Commission

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In the matter of Myron Swartz file no. 4-98: Rules of practice - rule 2(e): Findings and opinion of the Commission, United States. Securities and Exchange Commission

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Regulation S-X: form and content of financial statements as in effect February 15, 1961, United States. Securities and Exchange Commission

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Revision of articles 7 and 12 of regulation S-X, United States. Securities and Exchange Commission

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Recommended System of Account Classifications for Small Business Investment Companies, revised January 1, 1961, United States. Small Business Administration. Investment Division

1960

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Handbook of small business finance (1960), Ralph B. Tower and United States. Small Business Administration

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Adoption of amendments to rule 6-02-9 of article 6 of regulation S-X and rule 2a-4 under the Investment Company Act of 1940 with respect to provision by registered investment companies for federal income tax purposes, United States. Securities and Exchange Commission

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Statement of administrative policy regarding balance sheet treatment of credit equivalent to reduction in income taxes, United States. Securities and Exchange Commission

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Response to comment on statement of administrative policy regarding balance sheet treatment of credit equivalent to reduction in income taxes, United States. Securities and Exchange Commission and Andrew Barr

1959

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Uniform system of accounts for carriers by inland and coastal waterways, United States. Interstate Commerce Commission

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Amendment to minimum audit requirements prescribed in form X-17A-5 under the Securities Exchange Act of 1934, United States. Securities and Exchange Commission

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In the matter of Bollt and Shapiro, Theodore Bollt, and Bernard L. Shapiro, file no. 4-92 Rule II(e) - Rules of Practice: Findings and opinion of the Commission, United States. Securities and Exchange Commission

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Revision of uniform system of accounts for Public Utility Holding Company Act of 1935 governing the preservation and destruction of books of account and other records of registered holding companies, United States. Securities and Exchange Commission

1958

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Report on research project OSM-R2, use of statistical sampling techniques in United States Army Audit Agency Audit Activities, United States. Army Audit Agency

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Uniform system of accounts for class I and class II common and contract motor carriers of property prescribed by the Interstate Commerce Commission in accordance with part II of the Interstate Commerce Act, Issue of 1958, Revised to January 1, 1958, United States. Interstate Commerce Commission