Has anyone experienced a mismatch/difference in the
reconciliation of the "Other" account step of the audit ?
I have a ward who had one during the audit, and will be
going to examine their finances, but am wondering what
I should be looking for. I thought CUBS was supposed to
do away with these types of problems.
Audit "Other" Reconciliation Mismatch
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- Member
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- aebrown
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- Location: Draper, Utah
Re: Audit "Other" Reconciliation Mismatch
Here are some possible sources of mismatches:
- The Income/Expense report used for this audit step did not specify the correct date range (it should definitely end on June 30 for the midyear audit, so I always choose January 1-June 30)
- A number was transcribed incorrectly, either from the Inc/Exp report or from the Unit Financial Statement
- There was an outstanding item of some sort (e.g., a deposit made on June 30)