SEC Compliance & Reporting

In today's global economy, more businesses are seeking to go public while companies already publicly held are faced with the challenges of maintaining and strengthening their position in the marketplace. While there are certain benefits and opportunities that come from raising capital through a public offering registered with the SEC, there are also new obligations and compliance issues that add a greater complexity to your financial reporting requirements.

At WS+B, our SEC business specialists have the technical expertise and experience you need from a CPA firm to participate in these highly regulated capital markets. We can provide you with the compliance services necessary to maintain publicly-held status, including SEC accounting and auditing compliance, transaction reporting and communication with your audit committee. In addition, we are familiar with all SEC forms, such as 10-K, 10-Q, S-1, 8-K and SB filings.

Preserving public trust in today's capital markets is of primary importance. At WS+B, our uncompromising commitment to excellence, integrity and independence ensures the highest degree of ethical standards and professionalism.

For information on related SEC services, including project support for corporate governance, risk assessment and Sarbanes-Oxley compliance, and other internal audit related services, see the WithumSmith+Brown Global Assurance Web site at www.wsbga.com.

Contact:

Morristown:
Tom Basilo, CPA
tbasilo@withum.com

Ray Broek
rbroek@withum.com

James J. Hannan, CPA
jhannan@withum.com

Princeton:
Bob Van Arnum, CPA
bvanarnum@withum.com

New Brunswick:
Taryn M. Bostjancic, CPA
tbostjancic@withum.com

Frank Boutillette, CPA/ABV
fboutillette@withum.com

John Mortenson, CPA
jmortenson@withum.com

Newtown:
Rick Coyne, CPA
rcoyne@withum.com

Somerville:
Doug Sonier, CPA
dsonier@withum.com

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