Question: Which is an explicit requirement in the circular number 2 3 0 rule on conflict of interest the practitioner may not represent a client if

Which is an explicit requirement in the circular number 230 rule on conflict of interest the practitioner may not represent a client if such representation adversely effect on another client practitioner should send copies of written consent to the SEC office of the chief accountant the practitioner should obtain copies of written consent for at least 36 months the practitioner not represent in a test client if the practitioner is personally conflicted

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