Objective
- Identify key provisions of recently issued SASs
- Identify the current year changes to the rules and regulations affecting 401(k) plans
- Understand the most common compliance issues encountered in 401(k) plan audits, pitfalls to watch out for, and strategies to ensure compliance
- Perform efficient and effective procedures associated with planning, internal controls, risk assessments, and detailed audits
- Explain the documentation and procedures related to plan mergers and acquisitions
- Discuss the best practices associated with advanced audit areas, including participant loans, payroll, compensation, and investments
- Understand the risks associated with a benefit plan audit engagement
Highlights
- Audit requirements for ERISA §103(a)(3)(C) audits
- An annual update of the changes affecting 401(k) plans
- Compliance issues associated with eligibility and enrollments, remittances, lack of oversight, compensation, vesting, and other topics
- Best practices for engagement planning, internal controls, risk assessment, and detailed testing
- Avoiding common mistakes while performing audit procedures
- Plan mergers and acquisitions
- Common audit reporting and disclosure issues
Designed For
Experienced practitioners responsible for planning and performing employee benefit plan audit engagementsPrerequisite
A basic understanding of auditing defined contribution plansAdvanced Preparation
None