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Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

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Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA
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Page 1: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Solutions Summit 2014

Reconciliation Templates

Suggested Usage and Walkthrough

Jonathan Haynes, CPA

Page 2: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Chesapeake System Solutions, Inc. • Proprietary and Confidential

Main Drivers of Template Selection

Account Type

• Account types where transactional details and age are important

• Account types where individual DR/CR activity isn’t as important

Level of Reconciliation

• Full transactional matching from both sources

• Balance comparison with activity review from one source

• Balances only

Data Sources

• Single source vs multiple sources

• Manual source(s) vs systematic

Page 3: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Chesapeake System Solutions, Inc. • Proprietary and Confidential

Core Templates

• GL to Independent Source or GL to Independent Source/Balance Progression• Must have two sources, uses details from both sources• Useful for Cash/Banking and GL/SL detailed reconciliations

• Balance Comparison• Requires two balance sources, details are not mandatory• Reconciling items can be manually entered or systematically populated

• Balance Verification• Single source only• Used to validate the contents of an account

Page 4: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Core Template Demonstration

Page 5: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Chesapeake System Solutions, Inc. • Proprietary and Confidential

Expanded Use Templates

• Roll Forward• Not technically a reconciliation, but can be used to fit existing

processes• Most typical uses are Equity and Fixed Assets

• Balance Change Analysis• Single source only, detailed transactions required• Shows the change in the balance during the period under

reconciliation, along with total volumes for reasonableness review

Page 6: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Expanded Use Template Demonstration

Page 7: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Chesapeake System Solutions, Inc. • Proprietary and Confidential

Specialized Templates

• Balance to Detail Comparison• Must have two sources• Validates balance of the internal source using detailed import

comparison

• Budget• Used to calculate or confirm the remaining funds available against a

budget or funded account• Focused on project and fund accounting applications

• Roll Forward with Independent Source Comparison• Highly specialized, very specific uses for payment activities

Page 8: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Specialized Template Demonstration

Page 9: Solutions Summit 2014 Reconciliation Templates Suggested Usage and Walkthrough Jonathan Haynes, CPA.

Chesapeake System Solutions, Inc. • Proprietary and Confidential

Thank you for your time

Jonathan Haynes, [email protected]


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