INTERCOMPANY RECONCILIATION PROCESS Created by ChecklistGuro (https://checklistguro.com) [ ] Fetch Intercompany Transactions: Retrieve all pending transaction entries from the Intercompany Ledger data model. [ ] Fetch Counterparty Balances: Retrieve the reported balances from the subsidiary/counterparty data model. [ ] Sum Total Internal Debits: Calculate the total sum of all debit entries identified in the first step. [ ] Sum Total Internal Credits: Calculate the total sum of all credit entries identified in the first step. [ ] Calculate Discrepancy Variance: Subtract the counterparty balance from the internal ledger balance to identify the variance amount. [ ] Assign Discrepancy Investigation: Create a task for the Financial Controller if the variance is greater than zero. [ ] Log Reconciliation Discrepancy: Create a new entry in the Discrepancy Log data model with the calculated variance details. [ ] Create Adjustment Journal Task: Create a task for the Accounting Team to prepare manual adjustment entries. [ ] Update Transaction Status: Update the status of the processed transactions to 'Reconciled' in the ledger data model. [ ] Generate Monthly Reconciliation Report: Generate a summary report showing reconciled vs unreconciled amounts for the period. [ ] Notify Stakeholders of Discrepancies: Send an email to the Finance Director and Subsidiary Managers containing the discrepancy report. [ ] Cleanup Temporary Working Data: Delete the temporary calculation entries used during the aggregation process. --- END OF TEMPLATE --- Transform this text into a digital, automated, and trackable mobile app! Visit: https://checklistguro.com/workflow-templates/accounting-management/intercompany-reconciliation-process (Click "Install Template" to launch your digital inspection tool immediately)