The ACPEN Network is pleased to offer the ACPEN Signature webcasts in packages that offer discounts between 20%-40% off the retail price to your members.
By purchasing this package, you can save 30% and receive 32 hours of CPE! Get all the up-to-date info on Accounting, Auditing, Compilation and Review and Ethics in this package of four (4) full-day webcasts.
Lee Klumpp, CPA, is a National Assurance Technical Partner with BDO Seidman, LLP’s Assurance Division and BDO’s Institute for Nonprofit Excellence. He is based in BDO’s Bethesda, Maryland office. Prior to joining BDO Seidman, Lee worked in the audit practices of Ernst and Young, LLP and KPMG.
His representative clients included Children’s National Medical Center, Elizabeth Glaser Pediatric AIDS Foundation, American Cancer Society, World Wildlife Fund, National Wildlife Federation and United Way of America. His experience includes: Planning, performing and supervising a wide variety of financial statement and pension plan audits; Analyzing internal controls and policies, and writing accounting policies and procedures manuals; Working with organizations with multiple nonprofit and for-profit entities; Significant expertise in compliance auditing of organizations receiving federal financial funding in accordance with Office of Management and Budget (OMB) A-133, A122 and A-110.; Preparing, reviewing and auditing indirect cost rates proposals; Presenting audit reports and management letters to Boards of Directors and Audit Committees.
Lee is an accomplished speaker who has presented on numerous occasions on a variety of issues relating to nonprofit organizations through the Greater Washington Society of CPAs, the Virginia State Society of CPAs, American Institute of Certified Public Accounts as well as internally developed programs for continuing professional education programs for the firms that he has worked.
Jeffrey D. Mechanick, CPA, is Assistant Director for Nonpublic Entities at the FASB. In that role, he provides strategic and technical oversight of all activities involving not-for-profit (NFP) organizations and private companies, chairs the FASB’s Not-forProfit Advisory Committee, oversees support of the Private Company Council, and participates in some of the FASB’s broader outreach activities. He is also a member of the Technical Advisory Group of the International Financial Reporting for Nonprofit Organizations initiative (#IFR4NPO). Jeff has also been the overall lead staff member for the Blue-Ribbon Panel on Standard Setting for Private Companies and the FASB/IASB Financial Crisis Advisory Group.
Prior to joining the FASB staff in 2006, Jeff spent 20 years working in and with the notfor-profit sector, as the CFO of Planned Parenthood Federation of America, Inc., and before that, as a Senior Manager with KPMG, LLP, in the firm’s New York office. From 1992 to 1994, he served as the National Technical Senior Manager for the firm’s Higher Education, Research, and Other Not-for-Profit Organizations (HERON) practice. He is also a past member of the AICPA’s NFP Expert Panel. Jeff received his MBA from Rutgers University and his AB from the University of Chicago, and he is a member of the AICPA and the New York State Society of CPAs. He is also an adjunct instructor in Columbia University’s MS program in Nonprofit Management.
Paul Coggins, JD, is a partner at Locke Lord LLP, where he co-chairs the firm’s national White Collar Criminal Defense and Internal Investigations practice. Paul served as the U.S. Attorney for the Northern District of Texas from 1993 to 2001 and as the president of the National Association of Former United States Attorneys from 2019 to 2021. He received his B.A. in Political Science from Yale University and both a B.A. and a Diploma in Law from Oxford University as a Rhodes Scholar, before graduating from Harvard Law School.
Paul is a former radio host, a published author, a frequent speaker, and is involved in numerous public service organizations. Paul’s most recent novel (The Eye of the Tigress) was released in August 2021. His third Cash McCahill book (Chasing the Chameleon) is due out next year.
Audit Litigation Training and Efficiency Consulting, Inc.
J. Michael Inzina, CPA, CGFM, CGMA is president and CEO of Audit Litigation Training and Efficiency Consulting, Inc. (ALTEC), a consulting company serving the accounting and auditing community in audit efficiency, training, ethics and litigation support. In 2020 he retired from public practice after forty-four years, concentrated in governments, financial institutions, public utilities and nonprofit organizations. Mike holds a BBA in accounting from the University of Louisiana (Monroe), where he graduated summa cum laude in May 1976. He is a member of the American Institute of CPAs, the Society of Louisiana CPAs, the Association of Government Accountants and the GFOA, and earned the CEA in governmental in 1990. He was awarded the Certified Government Financial Manager (CGFM) designation in 1996, and the Certified Global Management Accountant (CGMA) designation in 2012. Mike is a past chapter president and member of the Society of Louisiana CPAs Board of Directors and served two terms as chairman of the Governmental Positive Enforcement Program of the Louisiana State Board of CPAs. He has served on numerous committees of the Society of Louisiana CPAs, and presently is a member and past chairman of its Ethics committee.
Mike has twice served as a member of the AICPA Professional Ethics Executive Committee (1986-1989, and 2000-2003), and served as a member of the AICPA Auditing Standards Board from 1997 to 2000. From 1986 to 1993, he served as a member of AICPA Independence and Behavioral Standards Subcommittee, and was Subgroup Chairman of the Governmental Technical Standards Committee. During this time he conducted numerous investigations of complaints filed by federal, state and local agencies alleging substandard performance of audits of governmental and nonprofit entities, and represented the Professional Ethics Division at hearings of the Joint Regional Trial Board.
He contributed to the GASB Statement 34 Implementation Guide, AICPA Statement of Position 98-3, the industry audit and accounting guide Audits of State and Local Governmental Units, the AICPA Practice Aid to SAS 99 (fraud) and assisted in revisions to the Louisiana Governmental Audit Guide and in drafting state legislation affecting governmental accounting and auditing requirements. He has served as technical consultant and instructor for the Louisiana Division of Administration (Office of Community Development), and as consultant to the Louisiana Department of Education. Mike frequently appears as moderator and panelist on the Accountants CPE Network.
He has been named thirteen times as an Outstanding Discussion Leader by the American Institute of CPAs and the Louisiana, South Carolina and West Virginia state societies. He received a Special Recognition Award from the Society of Louisiana CPAs Board of Directors for his contributions to continuing education in 1994, and was awarded the 2001 National Education and Training Award from the Association of Government Accountants. In 2009, Mike was named national Beta Alpha Psi Business Information Professional of the Year. In 2016, he received the Distinguished Service Award from the Society of Louisiana CPAs.
David L. Cotton, CPA, CFE, CGFM, is an accountant with Cotton, a Sikich Company, headquartered in Alexandria, Virginia. He has performed grant and contract, indirect cost rate, financial statement, financial related, and performance audits for more than two dozen Federal inspectors general as well as numerous other Federal and State agencies and programs.
Dave received a BS in mechanical engineering (1971) and an MBA in management science and labor relations (1972) from Lehigh University in Bethlehem, PA. He also pursued graduate studies in accounting and auditing at the University of Chicago Graduate School of Business (1977 to 1978).
Dave served on the Advisory Council on Government Auditing Standards (the Council advises the United States Comptroller General on promulgation of Government Auditing Standards—GAO’s yellow book) from 2006 to 2009. He served on the Institute of Internal Auditors (IIA) Anti-Fraud Programs and Controls Task Force and co-authored Managing the Business Risk of Fraud: A Practical Guide. He served on the American Institute of CPAs Anti-Fraud Task Force and co-authored Management Override: The Achilles Heel of Fraud Prevention.
Dave is the past-chair of the AICPA Federal Accounting and Auditing Subcommittee and has served on the AICPA Governmental Accounting and Auditing Committee and the Government Technical Standards Subcommittee of the AICPA Professional Ethics Executive Committee.
Dave chaired the Fraud Risk Management Task Force, sponsored by COSO and ACFE and is a principal author of the COSO-ACFE Fraud Risk Management Guide. Dave has testified as an expert in governmental accounting, auditing, and fraud issues before the United States Court of Federal Claims and other administrative and judicial bodies. He has been an instructor for the George Washington University masters of accountancy program (Fraud Examination and Forensic Accounting), and has instructed for the George Mason University Small Business Development Center (Fundamentals of Accounting for Government Contracts).
Dave was the recipient of the ACFE 2018 Certified Fraud Examiner of the Year Award (“presented to a CFE who has demonstrated outstanding achievement in the field of 2 fraud examination … based on their contributions to the ACFE, to the profession, and to the community”).
C. Clinton Davis JR, is with the law firm of Krage & Janvey, LLP in downtown Dallas. He graduated cum laude from the SMU Dedman School of Law in 1980 and first in his graduating class from Northwestern State University of Louisiana in 1977 with a Bachelor of Science in Accounting. He was first licensed in Florida as an attorney in 1980 and then in Texas in 1982. He has been a licensed CPA in Texas since 1980. He has been Board Certified in Tax Law by the Texas Board of Legal Specialization since 1988. He has been named as a Super Lawyer, a Top Attorney in Texas by Texas Monthly, one of the Best Lawyers in Dallas by D Magazine and a Top Rated Lawyer by the Dallas Morning News, all in the tax area.
Clint has in the past been an author and discussion leader for numerous CPE courses for the Texas Society of CPAs. Clint also speaks before various bar associations and accounting conferences. and is a frequent presenter and moderator on the Accountants’ Continuing Professional Education Network.
Clint primarily represents high net worth individuals and closely held businesses with much of his time devoted to real estate tax planning, implementation of S corporation ESOPs, mergers and acquisitions and private foundations.
Patricia Mayer, CPA, has practiced public accounting since 1984. She provides
tax and related tax planning services with an emphasis on not-for-profit and tribal
organizations as Director of Moss Adams, LLP, Exempt Organizations practice, in San
Diego, CA. Patty works predominately with public charities, private foundations, and
tribal organizations. She is a leader of Moss Adams’ Southern California not-for-profit tax practice and a member of the firm’s Not-for-Profit Tax Committee.
She also has considerable experience in tax compliance and consulting with a focus on
large multi-national organizations and health care providers. She helps clients maintain their tax-exempt status by informing them of changes in the law that may affect their organizations and helping them manage unique situations.
Vincent Walden, CPA, CFE, is CEO of KonaAI, specializing in forensic data analytics, continuous controls monitoring, anti-bribery & corruption analytics and compliance. His primary area of concentration is in providing leading technology and perspectives on both proactive compliance programs and reactive investigations and is 2022’s CFE of the Year by the Association of Certified Fraud Examiners.
Prior to leading KonaAI as their CEO, he was a managing director at Alvarez & Marsal, and a partner at Ernst & Young’s Forensic & Integrity Services Practice in Dallas, New York and Atlanta. Before EY, he worked at KPMG and Arthur Andersen. During his career, he also served as President and CFO of a privately-funded Internet company, which was subsequently sold to a Fortune 500 Company.
As an industry thought leader, Mr. Walden sits on Compliance Week’s Advisory Board and is featured in many publications including Internal Auditor Magazine, Compliance Week, Forbes, The Wall Street Journal, Harvard Business Review and The Economist. He is a regular columnist for FRAUD Magazine and writes about anti-fraud innovation. As part of COSO’s Anti-Fraud Task Force, Mr. Walden co-authored its “Fraud Risk Management Guide”, which was released in September 2016 and is being updated in 2022. He also hosts a bi-weekly podcast show, “The Walden Pond”, which focuses on compliance innovation and is an Adjunct Professor at Fordham Law School teaching on compliance technology & innovation.
Kevin M. Rockecharlie, CISA, A former Partner/Principal of Information Technology Assurance Services for CohnReznick, LLP in Dallas, TX. Kevin has more than 20+ years of experience providing assurance and consulting services to a wide range of industries working with both public and privately held companies. Kevin’s expertise includes implementing technical accounting guidance such as ASC 606 (Revenue Recognition), implementing artificial intelligence in financial audits, configuration of financial systems, development of data analytics, evaluating and recommending cybersecurity controls as well as performing information technology audits. Kevin has held positions at Accenture, Protiviti, Alcatel-Lucent (Nokia) and Dell Computer. Kevin graduated from Texas Tech University with a Bachelor of Business Administration in Management Information Systems. He also holds a Master of Science in Accounting and Information Management as well as a Master of Business Administration.
Sandra Johnigan is a CPA, Certified in Financial Forensics, and a Certified Fraud Examiner. She currently serves as an Editorial Advisor to the Journal of Accountancy. She served a four-year term, completed in 2016, as a member of the Auditing Standards Board of the American Institute of CPAs (AICPA). She is also one of the principal authors of the Committee of Sponsoring Organizations of the Treadway Commission’s (COSO) Fraud Risk Management Guide. The Guide is intended to serve as best practices guidance for organizations when implementing the COSO fraud risk assessment principle.
Ms. Johnigan is engaged by public companies in civil litigation involving internal controls, disclosures, fraud and accounting issues in SEC filings. Engagements by accounting firms have included the application of auditing standards and accounting principles to a wide variety of issues, including internal controls, allowance for loan losses, financial instruments, revenue recognition and detection of fraud. She has also been engaged by the Department of Justice and the Securities and Exchange Commission. Prior to her current consulting, Ms. Johnigan was an audit partner with EY, where she served as the National Office Chair of both the Thrift Industry Group and Real Estate Industry Group, and Co-Chair of the Financial Services Group. She previously was chair of the AICPA Forensic & Litigation Services Committee and served on the AICPA Council and the AICPA Forensic and Valuation Services Executive Committee.
Mohammad Raza, CPA, CFF, CFE, CGMA, is a highly accomplished Assurance Sr. Manager at BDO ADVANTAGE, specializing in Audit Data Analytics & Emerging Methods. He is a highly accomplished professional in the field of accounting and financial management, with over 10 years of experience in auditing Nonprofit organizations and State & Local Governments. He has become a recognized expert in his field, holding master’s degrees in accounting and Financial Management, as well as being a certified data scientist. Additionally, he holds several certifications including CPA, CFF, CFE, and CGMA.
Mr. Raza’s expertise extends beyond US GAAP, GAAS, and GAGAS standards to include overseeing and leading data science projects related to audit tools. His
experience with Azure Open AI, Cognitive Services, Data Factory, Databrick Synapse has enabled him to understand end-to-end ETL processes effectively. Furthermore, his knowledge of Business Intelligence (BI) tools and programming languages has allowed him to excel in data analytics while overseeing research and innovation initiatives at BDO.
Being a prominent figure in machine learning projects and possessing extensive
knowledge of various technologies related to data science applications within the audit industry, he has been invited to present on topics such as Audit Data Analytics, Blockchain, and Cryptocurrency. He has delivered presentations on audit data analytics at BDO NFP conferences, State & Local Gov't conferences, AICPA NFP Conference, and Howard University.
Mr. Raza’s extensive experience in various technologies related to data science
applications within the audit industry, along with his strong leadership skills, make him an invaluable asset to the industry.
James A. (Jim) Smith, CPA, CGMA, serves as Managing Director of Smith, Jackson, Boyer & Bovard, PLLC, a Dallas Certified Public Accounting firm. He practices extensively in tax compliance, planning and controversy representation for individuals and entrepreneurial businesses. He also is engaged in the preparation, compilation and review of financial statements; exit strategy planning for entrepreneurs; merger and acquisition planning and transactions; and forensic accounting and litigation services.
Mr. Smith served as Chair of the Texas Society of CPAs (TSCPA) for the 2007-2008 year, and as a member of its Professional Standards and Federal Tax Policy Committees since their inception. He served as a member of the AICPA Council 2007 through 2011 and from 2012 through 2015. He also served as an appointed member of two of the AICPA’s key standard setting committees: the Accounting and Review Services Committee from 2008 through 2011 and the Tax Practice Responsibilities Committee, 2014 to 2017.
Laura A. Billingsley, CPA,MS Acc, MEd, is an executive editor of PPC products for the Tax & Accounting business of Thomson Reuters in Carrollton, Texas, where she is responsible for the technical content and annual update of several PPC products. She is a coauthor of PPC’s Guide to SSARS Preparation Engagements, PPC’s Guide to PCAOB Audits, PPC’s Guide to Religious Organizations, PPC’s Practice Aids for Audits of Oil and Gas Entities, and PPC’s Guide to Fraud Risk Assessments; and a contributing author to PPC’s Guide to Compilation and Review Engagements, PPC’s Guide to Managing an Accounting Practice, PPC’s Guide to Write-up Services, PPC’s Guide to GAAS, PPC’s Guide to Audits of Financial Institutions, PPC’s Guide to Dealerships, and The PPC Accounting and Auditing Update newsletter. She has been an observer at the AICPA Accounting and Review Services Committee meetings for more than 20 years. Before joining Thomson Reuters, she was a senior audit manager at PricewaterhouseCoopers LLP, where she managed attest, business assurance, and consulting engagements for both small business and public company clients. Ms. Billingsley is a member of the American Institute of Certified Public Accountants.
Kurt G. Oestriecher, CPA is a partner with Oestriecher & Company CPA’s of Alexandria, Louisiana and has been with the firm since graduating cum laude from the University of Louisiana - Monroe in 1986 with a BBA in Accounting. He is partner in charge of accounting and auditing services and is also involved in litigation support and small business consulting engagements. He is a member of the American Institute of Certified Public Accountants (AICPA) and the Society of Louisiana Certified Public Accountants (LCPA), and he served as President of the LCPA in 2002–2003. He has chaired the Louisiana Accounting and Auditing Conference Committee, Strategic Planning Committee, Budget Committee, and Nominating Committee. Kurt was the recipient of the 1998, 2006, 2010, and 2018 Outstanding Discussion Leader Award from the LCPA, and was named the Outstanding Discussion Leader for the AICPA for eleven consecutive years from 2007 - 2018. He has authored and co-authored many
educational courses on accounting and auditing topics, including the AICPA “Annual Update for Accountants and Auditors”, and “Auditor Communications – Critical New Requirements”. Kurt served a four-year term on the Accounting and Review Services Committee of the AICPA from 2000-2004, and the AICPA Joint Trial Board from 2006- 201. He was a member of Council of the AICPA and was an Adjunct Instructor of Accounting at LSU-Alexandria and Northwestern State University.
Chad Francis, CPA, CFE, is a Senior Manager in EY’s Forensic & Integrity Services practice in Dallas, Texas. Chad specializes in conducting complex
investigations concerning fraud and other sensitive matters, often stemming from government enforcement or whistleblower allegations.
For the last five years, his primary focus has been in the sanctions and export control space, conducting investigations and assessing compliance programs across the world. That work frequently brought him to China and Russia as those regions became more and more of a focal point. Chad also serves in expert consulting roles in legal matters arising from M&A transactions, class actions, and contract disputes.
Chad utilizes a combination of forensic data analysis and traditional investigation techniques to assist companies and legal counsel all around the world. He has conducted on-the-ground investigations in over 20 countries across five continents and has led teams operating in many more. Chad is experienced in managing large, multi- dimensional projects that require coordination across many parts of an organization and involve 100+ professionals. Chad serves as a guest lecturer at universities on topics related to fraud investigation, and he also presents on related topics at industry conferences.
Alan M. Buie, JD, is an Assistant United States Attorney in the Western District of Texas, assigned to the Austin office. After graduating from law school in 1992, he clerked for a judge for two years and then spent six years in private practice in Washington, DC.
Alan entered government service in the Fort Worth office of the SEC in 2000 and served there as an enforcement attorney until 2005. In 2005, he became an Assistant United States Attorney for the Northern District of Texas, assigned to the Fort Worth Office, and served there until 2008. From 2008 to 2012, Alan served in the Dallas office as the corporate and securities fraud AUSA for the Northern District of Texas.
In 2012, Alan began serving in his current position, where he represents the government in criminal cases in federal district court, with a particular emphasis on investment fraud and other financial crimes.
Noah Kaufman, CPA is a Systems Accountant/Project Manager in the Bureau of the Comptroller and Global Financial Services at the U.S. Department of State (DoS). He is the Government-wide Momentum User Group chair. Noah has worked at DoS since 2014, and previously held positions in for-profit and federal entities, including CGI/AMS, Department of Homeland Security, and Arthur Andersen. Noah has over twenty years of experience, including in financial systems implementation/enhancements, and auditing Local/State/Federal/Non-Profit/For-Profit entities. Noah has also worked as an Adjunct Professor at UVA (School of Continuing Education), UMGC (was UMUC), and taught for Becker CPA for over fifteen years. Noah has presented for several conferences, including at the 2022 AGA Professional Development Conference and an AIPCA Not for Profit conference. Noah received an BS at the University of Virginia, an MBA from the University of Maryland Smith School of Business, has a CPA, CGFM and CGFMA, and was in the 2022 (initial) cohort of the NextWave Federal Finance Leadership Program.
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ACPEN Signature 2023: Not-for-Profit Accounting, Auditing and Tax Update
C. Clinton Davis, CPA, JDJ. Michael Inzina, CPA, CGFM, CGMAJeffrey Mechanick, CPA, M.B.A.