INTERCOMPANY RECONCILIATION CHECKLIST Created by ChecklistGuro (https://checklistguro.com) --- PRE-RECONCILIATION PREPARATION --- [ ] Reconciliation Period End Date [ ] Entities Included in Reconciliation (Entity A (Headquarters), Entity B (Subsidiary), Entity C (Regional Branch)) [ ] Upload Trial Balances [ ] Preparer Name [ ] Scope and Objectives Notes --- TRANSACTION MATCHING & IDENTIFICATION --- [ ] Transaction Period Date [ ] Source Entity (Parent Company, Subsidiary A, Subsidiary B, Regional Branch) [ ] Counterparty Entity (Parent Company, Subsidiary A, Subsidiary B, Regional Branch) [ ] Transaction Reference Number [ ] Transaction Amount [ ] Transaction Type (Intercompany Sale, Intercompany Transfer, Management Fee, Loan/Interest, Service Agreement) [ ] Supporting Ledger Export [ ] Notes on Unmatched Items --- DISCREPANCY INVESTIGATION --- [ ] Discrepancy Description [ ] Investigation Details [ ] Variance Amount [ ] Discrepancy Category (Timing Difference, Currency Exchange Error, Missing Transaction, Data Entry Error, Unrecorded Intercompany Fee) [ ] Supporting Evidence [ ] Date Discrepancy Identified --- CURRENCY CONVERSION & FX ADJUSTMENT --- [ ] Transaction Date [ ] Exchange Rate Applied [ ] Transaction Currency (USD, EUR, GBP, JPY) [ ] FX Variance Explanation [ ] Exchange Rate Source Documentation [ ] Reviewer Approval --- DISPUTE RESOLUTION & SETTLEMENT --- [ ] Dispute Resolution Status (Pending Investigation, Communication Sent to Counterparty, Awaiting Counterparty Response, Resolved - No Adjustment Needed, Resolved - Adjustment Posted) [ ] Counterparty Contact Person [ ] Discrepancy Details & Root Cause [ ] Date Dispute Resolved [ ] Supporting Correspondence/Evidence [ ] Controller Approval --- ADJUSTING JOURNAL ENTRIES --- [ ] Journal Entry Reference Number [ ] Description of Adjustments [ ] Posting Date [ ] Adjustment Type (Currency Exchange Adjustment, Intercompany Transfer Error Correction, Unrecorded Transaction, Tax/VAT Adjustment) [ ] Total Adjustment Amount [ ] Supporting Documentation/Workpaper [ ] Reviewer Approval --- FINAL REVIEW & DOCUMENTATION --- [ ] Review Completion Date [ ] Reconciliation Status (Fully Reconciled, Reconciled with Pending Adjustments, Unresolved Discrepancies) [ ] Summary of Outstanding Discrepancies [ ] Supporting Reconciliation Workpapers [ ] Reviewer Authorization [ ] Documents Verified (Intercompany Ledgers, Bank Statements, FX Rate Logs, Adjusting Journal Entries) --- END OF TEMPLATE --- Transform this text into a digital, automated, and trackable mobile app! Visit: https://checklistguro.com/templates/accounting-management/intercompany-reconciliation-checklist (Click "Install Template" to launch your digital inspection tool immediately)