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Megan has fifteen years of accounting experience which have encompassed providing comprehensive assurance and advisory services to a diverse client base including colleges and universities, employee benefit plans, and financial institutions, including audits of Securities and Exchange Commission (SEC) registrants. In working with higher education institutions, Megan has gained extensive Single Audit experience and serves as a technical resource on compliance audit matters. As a Senior Manager in the A&A Professional Practice Group, her overall focus is assisting with maintenance of quality control policies and procedures to ensure compliance with the applicable professional standards, regulatory requirements, and the firm’s quality control standards. Megan’s duties include assisting with the following activities: development and dissemination of the firm’s accounting, auditing and ethical standards, administration of the firm’s Peer Review and internal inspection activities, monitoring independence compliance, communication and consultation on technical, quality control, and other risk issues, and assisting with the development and administration of the firm’s risk management policies and procedures.