Charter. Audit and Compliance Committee of the Board of the Water Corporation

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Transcription:

Charter Audit and Compliance Committee of the Board of the Water Corporation

1. Purpose To assist the Board of Directors in fulfilling its oversight responsibilities for the financial reporting process, the system of internal control, the audit process, risk management, and the Corporation s process for monitoring compliance with applicable laws, regulations and the Corporation s Code of Conduct. 2. Authority The Audit & Compliance Committee has authority to conduct or authorise investigations into any matters within its scope of responsibility. It is empowered to: Appoint, compensate, and oversee the work of any registered public accounting firm employed by the organisation, Resolve any disagreements between management and the auditor regarding financial reporting, Pre-approve all auditing and non-audit services, Retain independent counsel, accountants, or others to advise the committee or assist in the conduct of an investigation, Seek any information it requires from employees - all of whom are directed to cooperate with the Committee's requests - or external parties, and Meet with Corporation officers, external auditors, or outside counsel, as necessary. 3. Standing Rules The Standing Rules for Water Corporation Board Committees apply to the Audit & Compliance Committee, and are incorporated into this Charter, save as expressly varied by this Charter. 4. Composition In addition to the membership criteria set out in the Standing Rules for Water Corporation Board Committees, at least one member of the Audit & Compliance Committee will be a financial expert. A financial expert is a person who, as a result of education and experience as a public accountant or auditor or as the chief financial officer, controller or principal accounting officer of a Company, has an understanding of financial statements, Australian Accounting Standards and experience in preparing or auditing financial statements, in internal accounting controls and in the functioning of audit committees. 5. Meetings The Committee will meet at least four times a year, with authority to convene additional meetings, as circumstances require. The Chairman will convene a special meeting if so requested by any Committee member, the Board of Directors or the representative of the Office 2

of the Auditor General. The Manager Risk & Assurance can request a special meeting with the Committee at any time it is considered necessary. All Committee members are expected to attend each meeting, in person or via tele- or video-conference. The Committee will invite members of management, auditors or others to attend meetings and provide pertinent information, as necessary. It will hold private meetings with auditors and executive sessions. Meeting agendas will be prepared and provided in advance to members, along with appropriate briefing materials. Minutes will be prepared. 6. Responsibilities The committee will carry out the following responsibilities: A. Financial Reports Review significant accounting and reporting issues, including complex or unusual transactions and highly judgmental areas, and recent professional and regulatory pronouncements, and understand their impact on the financial statements. Review with management and the external auditors the results of the audit, including any difficulties encountered. Review the annual financial statements, and consider whether they are complete, consistent with information known to Committee members, and reflect appropriate accounting principles. Review other sections of the Annual Report and related regulatory filings before release and consider the accuracy and completeness of the information. Review with management and the external auditors all matters required to be communicated to the Committee under generally accepted Australia Auditing Standards. Understand how management develops interim financial information, and the nature and extent of internal and external auditor involvement. Review the management of taxation-related risks and compliance with taxation laws including the lodgement of tax returns. B. Internal Controls Consider the effectiveness of the Corporation s internal control system, including information technology security, fraud and control. Understand the scope of internal and external auditors' reviews of internal control over financial reporting, and obtain reports on significant findings and recommendations, together with management's responses. 3

C. Risk Management Ensure an appropriate overall risk management framework is in place each year by: o o o Reviewing the Corporation s Corporate Risk Report to ensure that material business risks to the Corporation are dealt with appropriately. Ensuring that there is regular review and update of the Corporation s Corporate Risk Report. Ensuring that the material business risks are dealt with in a timely manner to mitigate exposures to the Corporation. D. Internal Audit Review with management and the Manager Risk & Assurance the Charter, activities, staffing, and organisational structure of the internal audit function. Have final authority to review and approve the annual audit plan and all major changes to the plan. Ensure there are no unjustified restrictions or limitations, and review and concur in the appointment, replacement, or dismissal of the Manager Risk & Assurance. Review the effectiveness of the internal audit function, including compliance with The Institute of Internal Auditors' International Standards for the Professional Practice of Internal Auditing. On a regular basis, meet separately with the Manager Risk & Assurance to discuss any matters that the Committee or internal audit believes should be discussed privately. E. External Audit The Auditor General is responsible for the appointment and performance evaluation of the external auditor (Auditor General Act 2006). The main duties and responsibilities of the Committee in relation to the external auditors therefore exclude appointment and performance related duties and are as follows: Review the external auditor s proposed audit scope and approach, including coordination of audit effort with internal audit. Ensure the annual report provides a full analysis of the total fees paid to external auditors, including a breakdown of fees for non-audit activities (if any). 4

F. Compliance Review the effectiveness of the system for monitoring compliance with laws and regulations and the results of management's investigation and follow-up (including disciplinary action) of any instances of non-compliance. Review the reports issued to, and findings resulting from, any compliance examinations by regulatory agencies, specifically the Economic Regulation Authority (ERA), and any auditor observations. Review the process for communicating the Code of Conduct to Corporation personnel, and for monitoring compliance with the Code. Obtain regular updates from management regarding compliance matters. G. Reporting Responsibilities Regularly report to the Board of Directors about Committee activities, issues, and related recommendations. Provide an open avenue of communication between internal audit, the external auditors, and the Board of Directors. Review any other reports the Corporation issues that relate to Committee responsibilities. H. Other Responsibilities Perform other activities related to this Charter as requested by the Board of Directors. Institute and oversee special investigations as needed. Review and assess the adequacy of the Committee Charter every two years, requesting Board approval for proposed changes, and ensure appropriate disclosure as may be required by law or regulation. Confirm annually that all responsibilities outlined in this Charter have been carried out. Evaluate the Committee's and individual member s performance on a regular basis. Recommend for Board approval of the Annual Insurance Renewal. Oversee insurance claims that exceed $300k. Oversee litigation and prosecutions against the Corporation that exceed $500k. 5

Appendix Corporate Governance Glossary of Terms Word Approve Audit Compliance Consider Govern Legal requirements Manage Monitor Recommendation Regulatory requirements Review Definition To agree to. An official and systematic examination of the records of the Corporation (whether financial or otherwise) with verification by reference to corroborating evidence with a purpose to establishing the accuracy and integrity or otherwise of the records. The act or process of adhering to a law, regulation, policy, standard or guideline. To think about, especially in order to make a decision, to weigh the merits of. To conduct the affairs of the Corporation. Requirements of or based on law. To take an active part in running of a business; to be responsible for decisionmaking. To watch, supervise, or check, for the purpose of auditing. A collective decision expressed in a formal document. Resolutions relating to internal affairs. Rules or restrictions imposed by Regulations. To inspect, examine or consider for a second time. 6