[go: up one dir, main page]

0% found this document useful (0 votes)
54 views3 pages

2009-SEC Form ExA-001-initia External Auditorl

This document is an application form for accreditation as an individual external auditor submitted by Edmundo S. Abraham to the Securities and Exchange Commission. It contains information such as his personal details, education and professional experience, audit clients, trainings attended, and required exhibits. If approved, he is applying for accreditation under Group D, which covers registered corporations mandated by other regulatory agencies to have an SEC-accredited external auditor. The application includes documentation of his qualifications and payment of the prescribed processing fee.

Uploaded by

raymond pua
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
54 views3 pages

2009-SEC Form ExA-001-initia External Auditorl

This document is an application form for accreditation as an individual external auditor submitted by Edmundo S. Abraham to the Securities and Exchange Commission. It contains information such as his personal details, education and professional experience, audit clients, trainings attended, and required exhibits. If approved, he is applying for accreditation under Group D, which covers registered corporations mandated by other regulatory agencies to have an SEC-accredited external auditor. The application includes documentation of his qualifications and payment of the prescribed processing fee.

Uploaded by

raymond pua
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
You are on page 1/ 3

Revised 2009

SECURITIES AND EXCHANGE COMMISSION

SEC FORM ExA-001


2x2
INITIAL APPLICATION FOR ACCREDITATION OF
AN INDIVIDUAL EXTERNAL AUDITOR
Coloured Picture
Application for accreditation to act as external auditor of
(Please check appropriate box):

[ ] Group A 1

[ ] Group B 2

[ ] Group C 3

[x ] Group D 4

EDMUNDO S. ABRAHAM
1. Name of Applicant:_____________________________________________________________________

MANILA, AUGUST 1, 1943 71


2. Place & Date of Birth:______________________________________________________Age:_________
8 GASAN ST., MASAMBONG, SFDM, QUEZON CITY
3. Business Address:_____________________________________________________________________
3652157
Telephone No. __________________________________ 3528712
Fax No. _______________________________

4. Education:

Course Name of School Year Finished/Honors


Received

Accountancy
FAR EASTERN UNIVERSITY 1963

Other Collegiate Course/s

Post-graduate

0016428
5. PRC License Number: ____________________ 08/02/2013
Date Granted _______________________
08/01/2016
Expiration Date_______________________

1036
6. BOA Accreditation No.: ____________________ 12/28/12
Date Granted ________________________
(If applicant is a Partner of a Firm, indicate 12/31/15
Expiration Date________________________
Number of the Firm)

48
7. Number of Years of Audit Experience (as in-charge, manager, partner or equivalent) _____________

1
Group A(i) Issuers of registered securities which have sold a class of securities pursuant to a registration under Section 12 of the Securities Registration
Code (SRC) except those issuers of registered timeshares, proprietary and non-proprietary membership certificates which are now covered in
Group B; (ii) Issuers with a class of securities listed for trading in an Exchange; (iii) Public companies or those which have total assets of at least Fifty
Million Pesos (P50,000,000.00) or such amount as the Commission shall prescribe, and having two hundred (200) or more holders each holding at least
One Hundred (100) shares of a class of its equity securities.
2
Group B(i) Pre-Need Companies; (ii) Issuers of registered timeshares, proprietary and non-proprietary membership certificates; (iii) Investment Houses; (iv)
Brokers and Dealers of Securities; (v) Investment Companies; (vi) Government Securities Eligible Dealers (GSEDs); (vii) Universal Banks Registered as
Underwriters of Securities; (viii) Investment Company Advisers; (ix) Clearing Agency and Clearing Agency as Depository; (x) Stock and Securities
Exchange/s; (xi) Special Purpose Vehicles registered pursuant to Special Purpose Vehicle Act of 2002, and its implementing rules; (xii) Special Purpose
Corporation registered under the Securitization Act of 2004 and its implementing rules; (xiii) Such other corporations which may be required by law to be
supervised by the Commission.
3
Group C (i) Financing Companies; (ii) lending Companies; (iii) Transfer Agents.
4
Group D Registered corporations which are mandated by other regulatory agencies to have an external auditor accredited by the Commission, provided
however that the Commission has been consulted on such requirement by the said agency and that it has agreed on the terms thereof through a
Memorandum of Agreement duly executed between the Commission and the regulatory agency.
Revised 2009

8. Name of Audit Firm/Partnership Wherein Audit Experience was Obtained (If necessary, provide
information in a separate sheet as Annex) _________________________________________________

9. Audit Clients Profile:

Name of Period of
Corporate Clients Engagement Amount of Total Assets

NORTHSTAR MOTORS CORP. P 212,852,046.97

MORELAND REALTY, INC. P 225,861,351.95

10. List of Trainings/Seminars Attended

Title of Seminar/Topics Organizer Date No. of


Hours
Best Tax Practice of Tax Practioners or Tax Agents PICPA 02/12/2015 8.0

Year End Tax Reminders and Tax Updates PICPA 02/07/2015 8.0

Audit Techniques & Fraud Prevention PICPA 02/05/2015 8.0

Ethics and Good Governance PICPA 08/19/2014 8.0

Techniques in Understanding & Reading F/S PICPA 06/13/2014 8.0

Audits of SMEs ; Applying PSAs PICPA 09/25/2012 8.0

Talking on SMEs; Phil. Adoption & Recent Dev't PICPA 09/14/2012 7.5

Comprehensive Corp. Taxation PICPA 09/13/2012 7.5

11. Exhibits

i. Copy of the Certificate of Accreditation issued by the Board of Accountancy (BOA). In case of a
partner of a firm, the certificate should include a list issued by the BOA which indicates the
names of the qualified partner/s of the firm;

ii. Quality Assurance Manual;

iii. Copy of Audited Financial Statements (AFS) of the applicant’s two (2) largest clients in terms
of assets;

iv. In case of an application for Group A, B or C accreditation, notarized certification that the
applicant has fundamental knowledge of the regulatory requirements on each of the covered
secondary licensees of the Commission;

v. Copy of certificates of participation/attendance in relevant trainings and seminar.


Revised 2009

For those availing a mutual recognition of accreditation granted by the Bangko Sentral ng Pilipinas
(BSP) and Insurance Commission (IC), as allowed under SEC memorandum Circular No. 13, s. of
2009, only the following documents shall be attached to the application:

i. Certificate of accreditation issued by BSP and IC;

ii. Notarized certification that the application has fundamental knowledge of the regulatory
requirements on companies under Group C;

iii. Copy of the latest AFS of the applicant’s largest clients in terms of assets.

12. Processing Fee

This application for accreditation has been submitted along with the payment of the prescribed fee in the
amount of __________________ under O.R. No. _____________________.

I hereby certify that the foregoing information are true and correct.

EDMUNDO S. ABRAHAM
________________________
Applicant’s Signature

Date: _________________________

Place:_________________________

JURAT

You might also like