Finance/Internal AuditFinancial ServicesRegulatory Compliance Financial Firm Auditors: Are You Ready to Audit Under CECL? Charles Soranno and Benjamin Shiu August 10, 2017 Charles SorannoBenjamin ShiuJune 1, 2017
Financial ServicesRegulatory Compliance Four U.S. Regulatory Agencies Issue CECL FAQs – Here Is the Summary Charles Soranno February 2, 2024 Charles SorannoDecember 22, 2016
Financial ServicesRegulatory ComplianceRisk Management CECL/IFRS 9 Update: New Credit Impairment Model Deadlines and Implementation Considerations Charlie Anderson and Charles Soranno August 4, 2017 Charlie AndersonCharles SorannoSeptember 21, 2016
Financial ServicesRisk Management Trends in Credit Reserves Reflect Economic Optimism Ariste Reno February 22, 2023 Ariste RenoMarch 26, 2021
COVID-19Finance/Internal Audit COVID-19 Impacts on Accounting, Reporting and Internal Controls Charles Soranno February 20, 2023 Charles SorannoJuly 6, 2020
COVID-19Financial ServicesRisk Management Managing and Mitigating Credit Risks and Losses Through the Crisis and Beyond Ariste Reno and Bill Byrnes April 18, 2023 Ariste RenoBill ByrnesMay 7, 2020
Business Performance Improvement An Intelligent Workplace Can Help Finance Leaders Navigate the COVID-19 Turbulence and Future Disruptions Ken Thomas and Kathie Topel April 18, 2023 Ken ThomasKathie TopelApril 23, 2020
Finance/Internal AuditRegulatory ComplianceRisk Management COVID-19 Impacts on Accounting, Reporting and Internal Controls Charles Soranno April 19, 2023 Charles SorannoApril 1, 2020
Finance/Internal Audit SEC Joins the PCAOB in Emphasizing the Importance of the Audit Committee’s Role Charles Soranno February 16, 2023 Charles SorannoJanuary 29, 2020
Financial ServicesRisk Management Dynamic Markets, Changing Regulations: Is Your Loan Portfolio Management Practice Moving in Step? Bill Byrnes and Michael Wilson April 14, 2023 Bill ByrnesMichael WilsonNovember 26, 2019