$116.00 – $136.00
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CPE Credits
4 Credits: Regulatory Ethics
Course Level
Overview
Format
Self-Study
Course Description
The Indiana ethics CPE course explores the AICPA Code of Professional Conduct and the Indiana Board of Public Accountancy laws, rules, and policies. Examples are used throughout the CPA ethics CPE course to illustrate various ethics and regulatory concepts.
Learning Objectives
Upon successful completion of this course, participants will be able to:
- Describe the different principles contained within the AICPA Code of Professional Conduct.
- Specify the different types of harassment.
- Describe the types of discreditable acts stated in the AICPA Code of Professional Conduct.
- Explain the accountant’s obligations related to the release of confidential information.
- Specify the policies that may apply to the release of confidential information.
- Identify the characteristics of false or misleading promotional efforts.
- Describe the obligations of the accountant in relation to the delivery of records to a client.
- Specify the obligations of the accountant in regard to conflicts of interest.
- Describe the different types of threats to an accountant’s ability to comply with the AICPA Code of Professional Conduct.
- Specify the Indiana substantial equivalency rules.
- Recall the requirements for applying for the Indiana CPA examination.
- Recall how the Indiana good character requirement can result in the denial of a certificate.
- Specify the rules relating to continuing professional education in Indiana.
- State the Indiana requirements for issuing a certificate to the holder of a designation granted in a foreign country.
- Specify the ownership rules for an Indiana CPA firm.
- Identify the circumstances under which the Indiana board can impose sanctions.
- State the rules in Indiana relating to a person who has requested retired status for his or her certificate.
- Specify the limitations in Indiana on which title abbreviations can and cannot be used for a license holder and someone who does not hold a license.
Course Specifics
SS424373775
February 20, 2024
There are no prerequisites.
None
88
Compliance Information
CFP Notice: Not all courses that qualify for CFP® credit are registered by Western CPE. If a course does not have a CFP registration number in the compliance section, the continuing education will need to be individually reported with the CFP Board. For more information on the reporting process, required documentation, processing fee, etc., contact the CFP Board. CFP Professionals must take each course in it’s entirety, the CFP Board DOES NOT accept partial credits for courses.
Meet The Experts
Steven M. Bragg, CPA, is a full-time book and course author who has written more than 300 business books and courses. He provides Western CPE with self-study courses in the areas of accounting and finance, with an emphasis on the practical application of accounting standards and management techniques. A sampling of his courses include the The New Controller Guidebook, The GAAP Guidebook, Accountants’ Guidebook, and Closing the Books: An Accountant’s Guide. He also manages the Accounting Best Practices podcast. Steven has been the CFO or controller of both public and private companies and has been a consulting manager with Ernst & Young and …
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