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Accounting Guide: Brokers and Dealers in Securities 2019

Accounting Guide: Brokers and Dealers in Securities 2019

  • 作者:
  • 出版商: John Wiley & Sons
  • ISBN: 9781948306669
  • 出版时间 October 2019
  • 规格: Paperback , 464 pages
  • 适应领域: U.S. ? 免责申明:
    Countri(es) stated herein are used as reference only

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  • 描述 
  • 大纲 
  • 作者 
  • 详细

    It is critical to understand the complexities of the specialized accounting and regulatory requirements needed for the broker-dealer industry. This comprehensive guide has been designed to be beneficial for a wide range of professionals within the broker-dealer industry. Updates to this edition are to conform the content to current accounting standards and regulatory requirements. The updates include:

    • SEC Release No. 34-86073, Amendment to Single Issuer Exemption for Broker-Dealers;  
    • ASU No. 2018-09, Codification Improvements; and,
    • SEC Release Nos. 33-10532; 34-83875; IC-33203, Disclosure Update and Simplification.

    In addition, this edition features a new example disclosure note for revenue from contracts with customers, which has been added to the guide's illustrative financial statements and footnote disclosures.

  • 1 The Securities Industry .01-.144

    Broker-Dealers .04-.25

    Discount Brokers .08

    Investment Bankers .09-.14

    Government Securities Dealers .15

    Designated Market Maker .16

    Clearing Brokers .17

    Carrying Brokers .18

    Prime Brokers .19

    Swap Dealers .20-.21

    Introducing Brokers .22

    Brokers’ Brokers .23

    Bank-Owned Brokers (Section 4k4(e) and Section 20 Brokers) .24

    Independent Broker-Dealers .25

    The Financial Markets .26-.48

    Exchange Market .29-.34

    OTC Market .35-.39

    Third Market .40

    Alternative Trading Venues .41-.48

    Clearing Organizations and Depositories .49-.55

    Transfer Agents .56-.59

    Regulatory Overview .60-.63

    Business Activities .64-.144

    Brokerage .64-.72

    Firm Trading .73-.109

    Investment Banking .110-.117

    Financing .118-.130

    Other Activities .131-.144

    2 Broker-Dealer Functions, Books, and Records .01-.176

    Introduction .01-.18

    Overview .01-.03

    Original Entry Journals .04-.06

    General Ledger .07

    Stock Record .08-.12

    Regulatory Recordkeeping Requirements .13-.15

    Trade Date and Settlement Date .16-.18

    Trade Execution .19-.60

    Customer Trades .19-.48

    Proprietary Trades .49-.60

    Clearance and Settlement .61-.90

    Overview .61-.65

    Comparison .66-.70

    Settlement .71-.87

    Bookkeeping .88-.90

    Specialized Clearance Activities .91-.118

    Mortgage-Backed Securities .91-.95

    Government Securities .96-.98

    Repos and Reverse Repos .99-.100

    Derivative Securities .101-.103

    Commodity Futures and Options on Futures .104-.108

    Forward Transactions .109

    Municipal Securities .110-.111

    International Securities .112

    Options on Securities .113-.118

    Reconciliation and Balancing .119-.122

    Custody .123-.134

    Possession or Control .124-.128

    Securities Transfer .129-.134

    Dividends, Interest, and Reorganization .135-.148

    Dividends and Interest .135-.143

    Reorganization .144-.148

    Collateralized Financing .149-.163

    Stock Loan and Stock Borrow .149-.153

    Bank Loan Financing .154-.157

    Reverse Repos and Repos .158-.163

    Regulatory Considerations .164-.171

    Tax Information Reporting for Certain Customer Transactions .172-.175

    Illustrative Stock Record Entries .176

    3 Regulatory Considerations .01-.188

    Applicable Rules .05-.10

    Interpretations of Rules .09-.10

    Explanation of Significant SEC Financial Responsibility Rules .11-.125

    SEC Rule 15c3-3, "Customer Protection—Reserves and Custody of Securities" .11-.40

    SEC Rule 15c3-1, "Net Capital Requirements for Brokers or Dealers" .41-.60

    SEC Rule 15c3-1(e), "Notice Provisions Relating to the Limitations on the Withdrawal of Equity Capital" .61-.65

    SEC Rule 17a-13, "Quarterly Security Counts to Be Made by Certain Exchange Members, Brokers, and Dealers" .66-.70

    SEC Rule 17a-3, "Records to Be Made by Certain Exchange Members, Brokers, and Dealers" .71

    SEC Rule 17a-4, "Records to Be Preserved by Certain Exchange Members, Brokers, and Dealers" .72

    Regulation T and Maintenance Margin .73-.79

    Account Statement Rule(s) .80-.81

    SEC Rules and CFTC Regulations Governing Customer Margin for Transactions in Security Futures .82

    SEC Rules 17h-1T and 17h-2T .83-.86

    SEC Rule 17Ad-17, "Lost Securityholders and Unresponsive Payees" .87-.92

    SEC Rule 17Ad-22, "Clearing Agency Standards" .93-.94

    SEC Rule 17-248—Subpart C, "Regulation S-ID: Identity Theft Red Flags" .95

    SEC Rule 506 of Regulation D and SEC Rule 144A .96-.97

    SEC Rule 15c3-5, "Risk Management Controls for Brokers or Dealers with Market Access" .98-.101

    SEC Rule 17a-5, "Reports to Be Made by Certain Brokers and Dealers" .102-.122

    Anti-money Laundering Regulations .123-.125

    Reporting Requirements .126-.151

    Consolidation of Subsidiaries .132-.134

    Form Custody .135

    Other Periodic Reporting .136

    The Annual Audited Financial Report .137-.151

    Filings Concurrent With the Annual Audited Financial Report .152-.161

    Compliance or Exemption Report Required by SEC Rule 17a-5 .152-.154

    Report to State Regulatory Agencies .155

    Financial Statements to Be Furnished to Customers of Securities Broker-Dealers .156-.161

    Other Reports .162-.171

    Reports on Securities Investor Protection Corporation Assessment .162-.164

    Reports on Agreed-Upon Procedures for Distributions .165

    PCAOB Accounting Support Fee .166-.171

    Additional Requirements for Registered Investment Advisers .172-.180

    Rules Applicable to Broker-Dealers in Commodities and U.S. Government Securities .181-.183

    Commodities Brokers .182

    Government Securities Broker-Dealers .183

    OTC Derivatives Dealers .184-.185

    Swap Dealers and Swaps Marketplace Participants .186

    Annual Compliance Certification .187-.188

    4 Internal Control .01-.69

    Introduction .01-.06

    The Control Environment .07-.09

    Risk Assessment .10-.18

    Control Activities .19-.22

    Information and Communication .23-.29

    Information and Communication Control Activities .26-.29

    Monitoring Activities .30-.35

    Broker-Dealer Control and Monitoring Activities .36-.61

    Sales and Compliance .40-.43

    Clearance .44-.45

    Securities Settlement .46-.47

    Custody .48-.49

    Dividends, Interest, and Reorganization .50-.51

    To-Be-Announced Securities .52

    Principal Transactions .53-.55

    OTC Derivative Transactions .56

    Commissions .57

    Collateralized Financings .58-.60

    Period End Financial Reporting .61

    SEC Requirements for Management’s Report on Internal Control Over Financial Reporting for Issuers .62-.69

    Annual Reporting Requirements for Issuers .66

    Quarterly Reporting Requirements for Issuers .67-.69

    5 Accounting Standards .01-.127

    Accounting Model .02-.40

    Definition of Fair Value .06-.08

    Application of Fair Value Measurement to Liabilities and Instruments Classified in a Reporting Entity’s Shareholders’ Equity .09-.11

    Valuation Techniques .12-.14

    Inputs to Valuation Techniques .15-.16

    Application to Financial Assets and Financial Liabilities With Offsetting Positions in Market Risks or Counterparty Credit Risk .17-.19

    Inputs Based on Bid and Ask Prices .20

    Present Value Techniques .21-.24

    The Fair Value Hierarchy .25-.28

    Fair Value Measurements of Investments in Certain Entities That Calculate Net Asset Value per Share (or Its Equivalent) .29-.32

    Fair Value Determination When the Volume or Level of Activity Has Significantly Decreased .33-.37

    Fair Value Option .38-.40

    Additional Fair Value Considerations .41-.54

    Financial Instruments Listed on a Recognized Exchange .41-.45

    Financial Instruments Not Listed on a Recognized Exchange but Having a Readily Available Market Price .46-.48

    Financial Instruments Not Having a Readily Available Market Price .49-.54

    Trade-Date Versus Settlement-Date Accounting .55-.68

    Proprietary and Principal Transactions .58-.65

    Agency Transactions .66-.68

    Statement of Financial Condition Considerations .69-.112

    Due From, and Due to, Other Broker-Dealers and Clearing Entities .69-.70

    Transfers of Financial Assets .71-.85

    Exchange Memberships Owned or Contributed .86

    Suspense Accounts .87

    Derivatives .88-.97

    Conditional Transactions .98

    Leveraged Buyouts and Bridge Loans .99

    Asset Securitizations .100-.103

    Variable Interest Entities .104

    Soft-Dollar Arrangements .105-.109

    Mandatorily Redeemable Instruments .110-.112

    Statement of Income or Loss Considerations .113-.124

    Underwriting Revenues and Expenses .113-.117

    Distribution Costs .118-.119

    Interest, Dividends, and Rebates .120-.123

    Costs Associated With Exit or Disposal Activities .124

    Revenue Recognition: Application of FASB ASC 606 .125-.127

    Brokers, Dealers, and Futures Commission Merchants and the Definition of a Public Business Entity .125-.127

    6 Financial Statement Presentation and Classification .01-.169

    Introduction .01-.12

    Financial Statements .13-.31

    Statement of Financial Condition .13-.15

    Statements of Income, Comprehensive Income or Operations .16-.20

    Statement of Cash Flows .21-.22

    Statement of Changes in Ownership Equity .23-.24

    Statement of Changes in Subordinated Borrowings .25

    Consolidation of Subsidiaries .26-.28

    Going Concern .29-.31

    Supplementary Schedules .32-.39

    Computation of Net Capital Pursuant to SEC Rule 15c3-1 .34

    Computations for Determination of Reserve Requirements Pursuant to SEC Rule 15c3-3 .35-.36

    Information Relating to Possession or Control Requirements Under SEC Rule 15c3-3 .37-.38

    Schedules of Segregation Requirements and Funds in Segregation for Customers’ Trading Pursuant to the Commodity Exchange Act .39

    Statement of Financial Condition Account Descriptions .40-.97

    Cash and Securities Segregated Under Federal and Other Regulations .41

    Memberships in Exchanges .42-.46

    Securities Sold Under Agreements to Repurchase and Securities Purchased Under Agreements to Resell .47-.53

    Securities Borrowed and Securities Loaned .54-.60

    Securities Received as Collateral and Obligation to Return Securities Received as Collateral .61-.63

    Receivables From and Payables to Broker-Dealers, Clearing Organizations, and Others .64-.72

    Receivables From and Payables to Customers .73-.76

    Deferred Dealer Concessions .77

    Securities Owned and Securities Sold, Not Yet Purchased .78-.85

    Other Borrowed Funds .86-.88

    Subordinated Borrowings .89-.93

    Commitments and Guarantees .94-.96

    Equity .97

    Statement of Income or Operations Account Descriptions .98-.126

    Commission Income and Related Expense .99-.103

    Interest Income and Interest Expense .104-.105

    Dividend Income and Dividend Expense .106

    Principal Transactions (Trading Gains and Losses) .107

    Investment Banking Fees and Expenses .108-.113

    Asset Management and Investment Advisory Income .114-.115

    Distribution Fees .116-.117

    Floor Brokerage, Exchange Fee, and Clearance Expenses .118-.120

    Occupancy and Equipment Expenses .121

    Employee Compensation and Benefits Expenses .122-.124

    Technology and Communications Expense .125

    Management and Allocated Corporate Overhead Expense .126

    Disclosures .127-.165

    Fair Value Disclosures .127-.130

    Disclosures Related to Transfers of Financial Assets Accounted for as Sales .131-.132

    Disclosures Related to Transfers of Financial Assets Accounted for as Secured Borrowings .133

    Disclosures of Certain Significant Risks and Uncertainties and Contingencies .134-.144

    Derivative Instruments Disclosures .145-.148

    Guarantee Disclosures .149-.150

    Related Party Disclosures .151-.156

    Subsequent Events Disclosures .157-.159

    Balance Sheet Offsetting Disclosures .160-.165

    Financial Statements and Schedules .166-.169

    Appendix

    A Information Sources

    B Illustrative Example of Compliance Report Required by SEC Rule 17a-5

    C Illustrative Example of Exemption Report Required by SEC Rule 17a-5

    D The New Leases Standard: FASB ASC 842

    E Accounting for Financial Instruments

    F Schedule of Changes Made to the Text From the Previous Edition

    Glossary

    Index of Pronouncements and Other Technical Guidance

    Subject Index

  • The American Institute of CPAs (AICPA) is the world's largest member association representing the CPA profession, with more than 429,000 members in the United States and worldwide, and a history of serving the public interest since 1887. AICPA members represent many areas of practice, including business and industry, public practice, government, education, and consulting. The AICPA sets ethical standards for its members and U.S. auditing standards for private companies, nonprofit organizations, federal, state and local governments. It develops and grades the Uniform CPA examination, offers specialized credentials, builds the pipeline of future talent and drives professional competency development to advance the vitality, relevance and quality of the procession.

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