Porte Brown Wealth Management
Compliance & Audit Representation
It's all about the details.
Porte Brown’s Governmental Compliance Practice Group represents companies and individuals before the Internal Revenue Service, Illinois Department of Revenue, Department of Employment Security and other state revenue departments.
How we do it.
If a client receives a letter for an audit by a federal or state agency, Porte Brown’s team represents the client throughout the entire process. We help the client gather the information and documentation, review the given information for completeness, meet with the agency representative in our office and provide the client with progress reports. As an added value for our clients, William Sebastiano, a partner at Porte Brown, is an Enrolled Agent and is eligible to practice before the Internal Revenue Service.
Our capabilities include:
The best possible outcome of an Internal Revenue Service Audit is a "no change letter." We are proud of our track record in compliance audit representation. 80% of the audits Porte Brown is involved in are resolved through "no change letters."
Please contact Porte Brown’s Compliance & Audit Representation Practice Group leader, William Sebastiano, at (847) 956-1040.
Questions? Let us know how we can help.
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Securities offered through 1st Global Capital Corp. Member FINRA, SIPC. Investment advisory services offered through 1st Global Advisors, Inc. Insurance services offered through 1st Global Insurance Services, Inc. We currently have individuals licensed to offer securities in the states of AZ, CA, FL, GA, IL, IN, KY, MO, NC, RI, TX, WA, WV and WI. This is not an offer to sell securities in any other state or jurisdiction.