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Enrolled Agent Exam [Part 3] 27, Firm Compliance Procedures

Tax Exam Prep

About this episode

This podcast is made by Ran Chen, who holds an EA license, Insurance and Securities licenses (Series 6, 63, 65), and the CFP® designation. He is passionate about opening access to high-quality exam preparation resources and helping learners prepare more effectively for professional certification exams. In this episode you will learn: - Practitioners with principal authority are responsible for their firm's overall compliance with Circular 230. - A violation occurs if a firm leader fails to implement 'adequate procedures' for all staff to follow Circular 230. - Supervisors must identify and take prompt corrective action to address any 'pattern or practice' of noncompliance within the firm. - A supervising practitioner can be disciplined if their failure to act is deemed willful, reckless, or grossly incompetent. - The exam may present scenarios where a leader claims ignorance, but they are still responsible if they 'should have known' about the misconduct. For more free exam prep tools, practice questions, and AI-powered explanations, visit https://open-exam-prep.com/ or YouTube Channel: https://www.youtube.com/@Open-exam-prep

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Enrolled Agent Exam [Part 3] 27, Firm Compliance Procedures

Tax Exam Prep

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