PCAOB Posts 31 New and 2 Expanded Inspection Reports
Reports dated February 22, 2016
- Burr Pilger Mayer, Inc.(PDF) (PDF)
- Carter & Company, CPA, LLC(PDF) (PDF)
- Dave Banerjee CPA an Accountancy Corporation(PDF) (PDF)
- David Lee Hillary Jr(PDF) (PDF)
- EKS&H, LLLP(PDF) (PDF)
- Friedman LLP(PDF) (PDF)
- Fruci & Associates II, PLLC(PDF) (PDF)
- GHP Horwath, P.C.(PDF) (PDF)
- LaRue, Corrigan, McCormick & Teasdale LLP(PDF) (PDF)
- Liggett & Webb, P.A.(PDF) (PDF)
- Messineo & Co., CPAs, LLC(PDF) (PDF)
- Rayburn|Fitzgerald PC(PDF) (PDF)
- Swalm & Associates, P.C.(PDF) (PDF)
- Turner, Stone & Company, L.L.P.(PDF) (PDF)
- Weinberg & Company, P.A.(PDF) (PDF)
- Wolinetz, Lafazan & Company, CPA's, P.C.(PDF) (PDF)
- Davidson & Company LLP (Canada)(PDF) (PDF)
- DeCoria, Maichel & Teague, PS(PDF) (PDF)
- Deloitte AS (Norway)(PDF) (PDF)
- Gregory, Sharer & Stuart, P.A(PDF). (PDF)
- Kahn, Litwin, Renza & Co., Ltd(PDF). (PDF)
- KraftCPAs PLLC(PDF) (PDF)
- Lightfoot Guest Moore & Co., PC(PDF) (PDF)
- Michael T. Studer CPA P.C(PDF). (PDF)
- Morrison, Brown, Argiz & Farra, LLC(PDF) (PDF)
- PricewaterhouseCoopers Accountants N.V. (Netherlands)(PDF) (PDF)
- PricewaterhouseCoopers, S.C. (Mexico)(PDF) (PDF)
- Ramirez Jimenez International CPA's(PDF) (PDF)
- Samet & Company PC(PDF) (PDF)
- Spectra Financial Services LLC(PDF) (PDF)
- UHY (Malaysia)(PDF) (PDF)
Expanded Reports
Pursuant to PCAOB Rule 4009(d), the PCAOB today made public additional portions of the following previously issued inspection reports because the firms did not address certain quality control issues to the satisfaction of the Board within the 12 months following the date of the reports.
- Naresh Arora CPA, Inc.(PDF) (10/1/2013) (PDF)
- Swalm & Associates, P.C.(PDF) (2/27/2014) (PDF)
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About the PCAOB
The PCAOB is a nonprofit corporation established by Congress to oversee the audits of public companies in order to protect investors and further the public interest in the preparation of informative, accurate, and independent audit reports. The PCAOB also oversees the audits of brokers and dealers registered with the Securities and Exchange Commission, including compliance reports filed pursuant to federal securities laws.