CHART OF ACCOUNTS SETUP AND MAINTENANCE WORKFLOW Created by ChecklistGuro (https://checklistguro.com) [ ] Retrieve Existing Chart of Accounts: Fetch all existing account entries from the Chart of Accounts data model to check for duplicates. [ ] Fetch Global Account Hierarchy: Retrieve the parent-child relationship structure from the data model to ensure correct nesting. [ ] Validate Account Code Format: Execute a formula to verify that the new account code follows the predefined alphanumeric pattern. [ ] Create New Account Entry: Create a new entry in the Chart of Accounts data model with the specified account details. [ ] Assign Review Task to Controller: Create a task for the Financial Controller to review the newly created account for accuracy. [ ] Update Parent Account Mapping: Update the parent account entry in the data model to include the newly created child account. [ ] Calculate Total Assets Value: Aggregate all entries within the 'Assets' category to ensure the balance sheet structure remains intact. [ ] Audit Trail Verification Task: Create a task for the Internal Auditor to verify the change against the change management policy. [ ] Notify Accounting Team: Send an email notification to the accounting department regarding the update to the Chart of Accounts. [ ] Deactivate Obsolete Account: Delete or mark as inactive the entry for the redundant account identified during the cleanup process. [ ] Generate Updated COA Report: Generate a comprehensive report of the updated Chart of Accounts for management review. [ ] Alert Finance Manager: Send an SMS alert to the Finance Manager for high-priority changes to sensitive accounts (e.g., Cash or Equity). --- END OF TEMPLATE --- Transform this text into a digital, automated, and trackable mobile app! Visit: https://checklistguro.com/workflow-templates/accounting-management/chart-of-accounts-setup-and-maintenance-workflow (Click "Install Template" to launch your digital inspection tool immediately)