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[Date] Fund Managers Trustee Dear Sirs AUDITORS REPORT ON [NAME OF SCHEME] (THE FUND) FOR SCHEME INCLUDED UNDER CENTRAL PROVIDENT FUND INVESTMENT SCHEME (CPF IS) FOR THE YEAR ENDED ___ We have audited
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A fund is an amount of money that is set aside for a specific purpose, often managed by a financial institution.
Typically, entities or individuals that manage funds or financial accounts are required to file the necessary documentation regarding the fund.
To fill out a fund filing, one must gather relevant financial information and follow the specific guidelines set by the regulatory authority governing the fund.
The purpose of a fund is to manage money for investment, savings, or specific projects to achieve financial goals.
Information such as fund type, account details, financial statements, and management fees must be reported when filing a fund.
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