Final Review & Sign-off Checklist – Excel File
34.31 $
Final Financial Statements Review Checklist: Performs final balance checks, reconciliations, analytical reviews, and disclosure completeness with preparer/reviewer sign-offs. Delivers a documented sign-off record before sending statements to management or auditors.
Final Review and Approval of Financial Statements
Final Review Checklist + Sign-off Matrix + Tie-outs + Disclosure Checks + Closing Pack Gate
Value Proposition: A final review checklist that closes the “approval gates” before issuing the statements: Adjusted TB + Reconciliations + JE Log + Notes/Disclosures → Quality Checks + Tie-outs → Sign-off Matrix → Closing Pack (Final) instead of approving a version and then encountering discrepancies/comments after submission.
In 20 Seconds: What Will You Get?
- Final Review Checklist distributed across areas: TB/JE/Reconciliations/FS/Notes/Disclosures/Pack.
- Sign-off Matrix: Who reviews what? Who approves? And on what date and version (Version/Date).
- Tie-out Sheets: Quick tie-out tests between the statements and Adjusted TB and between Notes and the statements.
- Disclosure Gate: Checkpoints for disclosures (completeness/application/consistency of numbers/references).
- JE Log Gate: Checkpoints for the final entries (Support/Approval/Posting/Reversals).
- Exceptions Log: A clear exceptions record (What is not closed? Why? And who approved the exception?).
- Final Pack Index: Index for the final delivery pack (FS + Notes + TB + Schedules + Evidence).
CTA linked to deliverables: Receive Final Review Checklist + Sign-off Matrix to close the approval on the Closing Pack (Final) linked to Adjusted TB.
Suitable For
- Financial Controller who wants to approve the statements on a single “closed” version with a signature and exceptions record.
- Head of Accounting who needs a final gate to prevent the issuance of statements before closing reconciliations and critical entries.
- Reporting Manager coordinating FS/Notes/Disclosures and needs tie-outs and a ready-to-deliver pack.
Not Suitable For
- Those without a final Adjusted TB or a complete JE Log — the checklist relies on the existence of closing outputs.
- Those looking for an “external auditor checklist” as a substitute for audit procedures (this is an internal governance product before approval).
Without the checklist / With the checklist (Quick Comparison)
| Item | Without the checklist | With the checklist |
|---|---|---|
| Approval Version | Approve a version and then numbers change later | Version/Date + Sign-off Matrix confirms the reference version |
| Tie-outs | Linking statements to TB/Notes is done partially | Tie-out sheets close the linking before “Final” |
| Disclosures | Numbering/reference/completeness errors appear after submission | Disclosure gate: completeness + consistency + Cross-refs |
| Exceptions | Open items are closed “verbally” | Exceptions log: what is open, why, and who approved it |
| Delivery | Closing Pack has variable content | Final Pack Index confirms the contents of the delivery |
Before Use: 5 Symptoms Before Approving Financial Statements
- Statements are sent to management/auditors and then late entries appear that change the numbers.
- Reconciliations are “complete” but without a clear tie-out with GL or without organized attachments.
- JE Log contains entries without support/approval or it is unclear if they have actually been posted.
- Disclosures have numbering/reference errors or numbers do not match the statements.
- There is no defined “Final Pack” file; each time the delivery is different.
Reviewing Statements Before Approval: Implementation Method (3 Steps Without Gaps)
Step 1: Freeze Inputs (Pre-Final Freeze)
- Freeze the Adjusted TB (Version/Date) and set the “Cut-off” for the last entries.
- Compile the final JE Log + identify sensitive entries (Top-side/Manual/Closing entries).
- Compile Reconciliations for control accounts (Bank/AR/AP/Payroll/FA… as per your scope) with their attachments.
Step 2: Quality Checks (TB/FS/Notes/Disclosures)
- Run Tie-outs: FS ↔ Adjusted TB + Notes ↔ FS + any rollforward schedules ↔ Schedules.
- Check JE Log: Support/Approval/Posting/Reversals + alignment of entries with the accrual period.
- Check disclosures: completeness of required sections + consistency in policies + numbering/references + matching numbers.
Step 3: Sign-off + Exceptions + Final Pack
- Close the Final Review Checklist and record any incomplete item in the Exceptions Log with a reason and approval of the exception.
- Sign the Sign-off Matrix (Reviewer/Approver) on the reference version (Version/Date).
- Compile the Closing Pack (Final) according to the Final Pack Index and deliver the final version.
Product Components (Clear Inventory)
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Final Review Checklist
- Practical Purpose: Approval gates covering TB/JE/Reconciliations/FS/Notes/Disclosures/Pack.
- When to Use: End of Month-End/Year-End before issuing “Final”.
- Resulting Evidence: Completed checklist showing what was checked, when, and by whom.
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Sign-off Matrix
- Practical Purpose: Establish responsibilities and approval on the reference version (Version/Date) instead of verbal approval.
- When to Use: When transitioning from Draft to Final.
- Resulting Evidence: Signature matrix identifying Reviewer/Approver for each area.
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Tie-out Sheets
- Practical Purpose: Quick tie-out tests confirming that the statements and disclosures are based on Adjusted TB and specific supporting schedules.
- When to Use: Immediately before final approval.
- Resulting Evidence: Signed/reviewed tie-out sheets within the file.
-
Reconciliations Gate
- Practical Purpose: Confirm that critical reconciliations are complete and linked to GL with attachments.
- When to Use: Before final approval, especially Year-End.
- Resulting Evidence: List of “Critical Accounts” + status of each reconciliation + location of attachments.
-
JE Log Gate
- Practical Purpose: Review final entries: Support + Approval + Were they posted? + Their impact on the statements.
- When to Use: After freezing TB and before issuing Final FS.
- Resulting Evidence: JE gate report showing sensitive entries and what was verified.
-
Disclosure & Notes Gate
- Practical Purpose: Review disclosures from the perspective of completeness/consistency/numbering/references/matching numbers.
- When to Use: When closing Notes before sending the final version.
- Resulting Evidence: Disclosure review log + list of points requiring adjustment.
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Exceptions Log
- Practical Purpose: Document items that were not fully closed and what management’s decision is regarding them (Acceptance/Deferral/Subsequent Processing).
- When to Use: If there are items that cannot be closed before “Final” and require exception approval.
- Resulting Evidence: Exceptions log with signature of exception approval.
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Final Pack Index
- Practical Purpose: Clearly define the contents of the Closing Pack (Final): What should be delivered? And in what version?
- When to Use: Before final delivery to management/auditors.
- Resulting Evidence: Index + Version control confirming the delivery version and its contents.
CTA linked to deliverables: Final Review Checklist + Tie-outs + Exceptions Log to establish approval of the statements on a single version within the Closing Pack.
What Should Be Included in the Delivery?
- 01 – Reference Adjusted TB: Final Adjusted TB version (Version/Date) + any mapping for the statements.
- 02 – Final FS: Final statements (P&L/BS/CF/Equity) with version number/date.
- 03 – Notes/Disclosures: Disclosure file (Word/PDF) + Cross-refs + any Disclosure checklist/Tracker (if available).
- 04 – Tie-outs: Tie-out sheets FS↔TB and Notes↔FS + documentation of any discrepancies and how they were closed.
- 05 – Reconciliations: Reconciliation package for control accounts + attachments/statements + account index.
- 06 – JE Log: Final JE log + support for each entry + posting status + any reversal notes.
- 07 – Exceptions Log: If available, approved exceptions log with reason and signature.
- 08 – Sign-off: Signed sign-off matrix + list of who reviewed what + approval date.
- 09 – Final Pack Index: Final delivery index (sections/files/versions) + approved reference version.
After Implementation (Two Points Only)
- Operational Outcome for the Team: “Approval of statements” becomes a clear step: Freeze → Checks → Sign-off → Pack, instead of ungoverned approval followed by rework.
- Regulatory/Audit Outcome (Evidence & Traceability): A specific reference version exists (Version/Date) and each item has evidence: Tie-outs + Reconciliations + JE Log + Notes cross-refs within the Closing Pack.
FAQ — Questions Before Purchase
Is this checklist a substitute for external audit?
No. It is internal governance before approval to ensure that the statements are delivered on a “closed” version linked to evidence. External audit has its own procedures.
Is it suitable for monthly or only annual closings?
For both. The most significant use is usually at Year-End, but the same quality gates are useful monthly for those relying on monthly management reports.
What is the minimum required documentation to apply it?
Final Adjusted TB + Draft/Final FS + JE Log + Reconciliations for control accounts + Notes/Disclosures (Draft).
Does it fit any accounting system?
Yes. It is a checklist for outputs of the closing (TB/JE/Recs/FS/Notes) and not tied to a specific system.
Does it include review of disclosures and notes?
Yes. There is a Disclosure & Notes gate focusing on completeness of sections, consistency of numbers with the statements, numbering and references, and existence of Cross-refs.
Does it help establish a single version and avoid “multiple copies”?
Yes, through Sign-off Matrix + Version control + Final Pack Index, ensuring a specific Version/Date is approved and documenting who reviewed and approved.
What if there are items that cannot be closed before approval?
They are recorded in the Exceptions Log with a clear reason and closure plan and decision for exception approval (and who approved it). The goal is to prevent “open undisclosed items”.
Is there a template for delivering to the auditor/management?
Yes. The Final Pack Index defines the contents of the final Closing Pack, and a checklist and sign-off can be attached as governance evidence within the delivery.
Ready to approve the statements on a closed version linked to evidence?
You will receive: Final Review Checklist + Sign-off Matrix + Tie-outs + Exceptions Log + Final Pack Index to close the approval of the statements within the Closing Pack (Final).
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