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The Essential Guide to SEC Form 10-K – Compliance, Disclosures, and Best Practices

This course provides a deep dive into SEC Form 10-K. This course addresses the key requirements and regulatory aspects, including filing deadlines and their significance for investors. This course also addresses the financial statements section, covering the balance sheet, income statement, cash flow statement, and footnote disclosures, along with best practices for preparation. The course also focuses on the Management’s Discussion and Analysis (MD&A) section, exploring its importance in the explanation of financial results and addressing common drafting challenges. Finally, this course discusses risk factors, internal controls, and corporate governance disclosures, highlighting their role in enhancing transparency.



Course Publication Date: December 14, 2024

This course is available with NO ADDITIONAL FEE if you have an active self study membership or all access membership or can be purchased for $40.00!

Author:Kelen Camehl
Course No:ACT-10KESS-26004
Recommended CPE:4.00
Delivery Method:QAS Self Study
Level of Knowledge:Overview
Prerequisites:

None

Advanced Preparation:

None

Recommended Field of Study:Accounting
  
Learning Objectives
  • Identify the key components of SEC Form 10-K and their relevance to financial reporting.
  • Recognize the regulatory requirements and compliance aspects associated with filing Form 10-K.
  • Distinguish between the filing deadlines for Form 10-K and the consequences of non-compliance.
  • Recognize the significance of Form 10-K for investors and stakeholders.
  • Identify the key components and classifications of financial statements included in SEC Form 10-K.
  • Recognize the significance of each financial statement in assessing a company’s financial health.
  • Distinguish between critical accounting policies and estimates that impact financial reporting.
  • Determine the role of footnote disclosures in providing additional context to financial statements.
  • Recognize common pitfalls in financial statement disclosures from effective disclosure practices.
  • Identify key elements of MD&A.
  • Distinguish between liquidity and capital resources in MD&A.
  • Recognize best practices for drafting effective MD&A disclosures.
  • Identify common challenges in MD&A reporting.
  • Recognize the significance of critical accounting estimates in MD&A.
  • Identify the methods companies use to determine and communicate risk factors in SEC Form 10-K.
  • Recognize the key components of ICFR and their significance in accurate financial reporting.
  • Distinguish between various elements of executive compensation disclosures required in Form 10-K.
  • Determine the role and responsibilities of audit committees in corporate governance.
  • Recognize best practices for board composition and independence that enhance corporate governance and investor confidence.

CPE Depot Inc. is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.nasbaregistry.org.

Sponsor Number: 109423

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