Understanding and Auditing Alternative Investments – Virtual

Notice: Course times are 8:30 am – 4:30 pm Central Time. Virtual information will be communicated to the attendees at a later date, closer to the event.

This one-day virtual seminar provides participants with an overview of the most common alternative investments in the global market including Private Equity, Private Credit and Hedge Funds.

Understanding the Alternative Investment markets and all the critical characteristics of these investments as can be extremely challenging. However, given the concentration of these assets in today’s investment portfolios, Auditors have no choice but to “jump in”.  Herein lies the problem. How are we to conduct an effective risk-based audit of Alternatives when we don’t understand them? That is where ITCI is here to assist you. This one-day class will assist you not only to better understand this asset class — but will also identify the key risk of these private investments. Then the class will focus on the effective internal controls that must be in place at your firm and help you to define audit objectives, audit scope and audit program steps to get you started.

(Note: Understanding and Auditing Real Estate and Real Assets will be covered in a separate one-day seminar offered on June 26th, 2024. See additional information here.)

Understanding and Auditing Alternative Investments Course Features and Discussion Topics:
(Course Content Subject to Change to Address Current Market Conditions)

Alternative Investments Overview:

  • Understanding the history of alternatives and interrelated importance of alternatives in today’s market.
  • Delineating the market structure and investing parameters of Alternative Investments:
  • Understanding the unique characteristics and structures associated with the different types of Alternative Investments including Private Equity, Private Credit, Hedge Funds, Co-Investment, etc.
  • Learning the legal structure of alternatives both from the investing and the portfolio management side.
    • Comingled and limited partnerships
    • Separate accounts and the fund of one
    • Understanding the critical roles in your company
    • Discussing the general partner’s role who is managing the investments.
  • The advantage and disadvantages of investing into the alternative market and discussing the critical success factors.
    • Correlations to other Asset Sectors
    • “Betting the Jockey but not the horse.”
    • Performance
    • Incentive Structure and Management Fees
    • Oversight and due diligence
    • Transparency or the lack thereof
    • The long-term investment and liquidity terms
    • Regulatory and reporting requirements
    • Incentive and management fees

Auditing Alternative Investments – A Risk Based Approach:

  • Understanding the Risk of Alternative Investments.
    • Market Disruptions, Business, Strategy, Legal/Contract, Financial, Liquidity, Leverage, Management, Valuation & Performance, Accounting, Manager Fees, Administrative, Legal & Regulatory, Sourcing, Oversight, Reporting, Strategy drift, Loss of key managers, Country, reputational… etc.
  • Discuss Best Practices and Key Controls in Alternative Investments.
  • Discuss the critical Alternative Investments Audit Objectives and Audit Scope
    • Very important to “Ring Fence” the scope and objectives to prevent scope creep.
    • Alternative Investment considerations during Audit Planning.
    • Critical Audit Steps to Consider in developing the Alternative Investment Audit Program.
Course Duration: 1 day(s)
CPE Hours Available: 8
Field of Study: Accounting (4),  Specialized Knowledge (4)
Program Level: Intermediate
Prerequisites: ​General Knowledge of Audit & Investments
Advance Preparation:      None
Delivery Method: Group Live or Group-Internet Based
Investment Training and Consulting Institute, 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 credits. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.nasbaregistry.org.
Attendance Requirements: In order to be awarded the full CPE hours, attendees must complete at least 3 attendance monitoring mechanisms (codewords, polls, etc) per CPE hour.
Policy Information: For more information regarding how to register for a course, refund, program cancellation, complaint resolution policy and other frequently asked questions, please visit our Q&A page or contact our office at 785-783-8201.
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Hourly Schedule

Day 1 - Agenda

8:30am - 4:30pm
Day 1 - Understanding and Auditing Alternative Investments
Day 1 of the course will start at 8:30am and end at 4:30pm Central Time.

Book Event

Understanding and Auditing Alternative Investments Attendees
$895
Available Registrations: Unlimited
The "Understanding and Auditing Alternative Investments Attendees" ticket is sold out. You can try another ticket or another date.

Date

Jun 24 2024

Time

CT
8:30 am - 4:30 pm

Local Time

  • Timezone: America/New_York
  • Date: Jun 24 2024
  • Time: 9:30 am - 5:30 pm

Cost

$895

Location

Virtual Webinar
Virtual Webinar

Organizer

ITCI
ITCI
Phone
785-783-8201
Email
info@investci.com
Website
https://www.investci.com/
REGISTER

Speaker

  • Barbara Davison
    Barbara Davison
    CEO, President and Audit Principal

    Barbara Davison is currently CEO, Audit Principal and Board Chair of the Investment Training and Consulting Institute, Inc. (ITCI), located in Overland Park, Kansas. ITCI provides training and consulting in the areas of Investments, Derivatives, and Risk Management to Management, Operations and Auditors.

    Barbara is a distinguished faculty leader for the International Institute of Internal Auditors, where she has served for more than 25 plus years. She is a Certified Internal Auditor, Certified Information System Auditor, Certified Investments and Derivatives Auditor, a Fellow of the Life Management Organization and the author of five books on investment and derivative auditing: “Auditing Investment Activities,” “Auditing Derivatives Strategies,” “Auditing Merger and Acquisitions Strategies,” “Understanding and Auditing Investments and Derivatives,” and “The CIDA Review Book.” Barb has obtained her Series 7 and Series 65 from the National Association of Security Dealers (NASD).

    Previously, Barbara was vice president of a financial institution where she directed investment operations for the general account and mutual funds. Her responsibilities also included portfolio management of two mutual funds, which were part of a $7 billion portfolio. Prior to her seven years in investments, Barbara was Manager of Internal Audit for six years, where she was responsible for the management of corporate audit activities, computer security, information systems audits and assisted in new business strategies.

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