Monthly Closing Checklist PDF
Monthly Closing Checklist PDF
Checklist
Monthly Closing Checklist Month: ________________Year________
Preparer Reviewer
Initials Initials &
& Date Date
Cash
Verify bank balance on bank reconciliation agrees with respective bank statement
balance.
Verify cash reflected on trial balance agrees to ending cash balance on bank reconciliation.
Verify all undeposited funds from prior month have cleared in current month.
Accounts Receivable
Accounts receivable aging total agrees with balance reflected on trial balance.
Identify significant account balances past due and document collection status.
Determine whether any past due balances need to be written off.
Review accounts receivable aging for any unapplied credits.
Review credit memos issued during the month, determine proper authorization.
Customer Down Payments
Verify this account balance reconciles to customer listing.
Verify that sales related to deposits occur in the future.
Determine whether any receivables are uncollectible.
Inventory
Compare perpetual inventory total to trial balance. Identify / explain variances.
Review perpetual inventory listing for reasonableness (high quantities/dollars, etc).
The information contained herein is confidential and proprietary to SVA Certified Public Accountants, SC. It is not to be disclosed,
in whole or in part, without the expressed written consent of SVA Certified Public Accountants, SC. It shall not be duplicated or
used, in whole or in part, for any purpose other than to evaluate the suggestions of SVA Certified Public Accountants, SC.