The question is; does anyone know of a policy that talks about a conflict of interest? I don't find one.
Blairjames
I can't find any such policy or guideline in the Handbook, audit forms, or training lessons. However, the Audit Committee does assign individual auditors to audit particular units, and may make those assignments however the chairman feels is appropriate. Concern for a potential conflict of interest could be a reasonable criterion used by the Audit Committee -- but that is a local decision.blairjames wrote:does anyone know of a policy that talks about a conflict of interest? I don't find one.
blairjames wrote:I am told that one of auditors that we do have, should not perform an audit in his home ward because of some feeling of a conflict of interest.
The question is; does anyone know of a policy that talks about a conflict of interest? I don't find one.
That's basically correct. In the Stake Audit Committee lesson on slide 14, it says:mlh78 wrote:It is my understanding that finance clerks cannot be auditors, even if they do not audit their own ward.
I suppose that if skilled auditors are in short supply in a stake, the "should" word might allow an exception (of course a clerk would never audit his own ward), but the general rule is pretty clear.Because of their close ties to stake and ward finances, stake and ward clerks should not serve as auditors or as members of the stake audit committee.
blairjames wrote:The question is; does anyone know of a policy that talks about a conflict of interest? I don't find one.