Public Company Regulatory Compliance and Reporting

Regulatory standards are constantly changing, making compliance complex and time consuming. Failing to comply puts you and your organization at risk for substantial fines, not to mention severe harm to your reputation. Our team helps public companies comply with complex regulatory requirements, information security issues, growing shareholder expectations, privacy matters and investor relations. In addition, we have the knowledge and experience to assist public companies to comply with the requirements of NI 52-109 in Canada and Sarbanes-Oxley in the U.S. 

Our clients range from Capital Pool companies listed on the TSX Venture Exchange to companies with hundreds of millions of assets listed on the TSX and international exchanges.

Insights

  • Confidence

    March 24, 2021

    The Exchange Seminar Series Market Insights for Public Companies

    Our recent webinar details accounting considerations for acquisitions, lease concessions and how accounting around COVID-19 support programs could impact your business. Our thought leaders also delve into ESG in capital markets and how to build a sustainable path to growth.

  • Performance

    April 20, 2020

    MNP WEBINAR: Available COVID-19 Financial Aid Programs

    With the House of Commons recently passing the COVID-19 Wage Subsidy bill, we want to ensure you have the latest updates, as well as other relevant information on additional financial aid programs.

  • Confidence

    October 24, 2019

    Integrating Assurance and Internal Audit

    Risk management is the key focus of assurance and internal audit functions. Find out the basic steps towards building an integrated risk-based approach to assurance driven by internal audit in this article by MNP’s National Leader, Governance and Risk, Maggie Kiel.

Contact Our Assurance and Accounting Team

David Danziger CPA, CA

Senior Vice President, Assurance & National Leader, Public Companies

David Danziger, CPA, CA, is the Senior Vice President, Assurance.

David is a member of the firm’s management team and is responsible for providing leadership and direction to the Assurance practice across Canada. David has extensive experience in public market transactions and leverages significant expertise having served as a director on many public companies listed on the TSX, the TSX Venture, the CSE and the New York Stock Exchange.

An accounting professional since 1980, David serves as an audit partner and compliance advisor to public companies, as well as to private firms looking to become public. He brings years of experience completing significant transactions, assisting with complex accounting matters and regulatory issues, as well as with prospectus filings and other publicly filed documents.

David graduated from the University of Toronto with a Bachelor of Commerce. He is a Chartered Professional Accountant (CPA), qualifying as a Chartered Accountant (CA) in 1983.

Committed to the profession, David is a member of CPA Ontario’s Practice Inspection Committee. He is also a past member of the Ontario Securities Commission’s Small to Medium Sized Enterprise Advisory Committee and a past member of the CPA/PDAC IFRS Taskforce on Mining.