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Auditor has no responsibility to identity Internal control deficiencies during an audit of a nonissuer, but if the auditor becomes aware of it, s/he has a responsibility to communicate it in writing?
This report is for limited use, right??
Intergrated audits: Report on IC can be issued with f/s audit or separate. Regardless in what form, this report ISN’T for limited use, right?
Little confused, if someone can shed a light on it…I’ll be very grateful!!
Thanks:)
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