| name | finance-close-checklist |
| department | finance-controller |
| description | Use when orchestrating monthly or quarterly close. Covers the close calendar, sub-ledger cutoffs, accruals, reclass entries, and post-close review. Do not use for individual reconciliations (use finance-reconciliation) or journal-entry construction (use finance-journal-entries). |
| version | 1 |
| triggers | ["close","month-end","quarter-end","close calendar","cutoff","accrual run","recurring entries","post-close","sub-ledger close"] |
Finance Close Checklist
Purpose
Orchestrate a monthly or quarterly close from sub-ledger cutoff through period lock. The deliverable is a day-by-day calendar with owners, dependencies, and sign-off gates — the close as a control, not as a scramble.
Scope Constraints
- Produces the close calendar, accrual schedule, sign-off matrix, and post-close adjustment log; does not post entries (handoff to finance-journal-entries) or perform individual reconciliations (handoff to finance-reconciliation).
- Covers monthly and quarterly close; year-end / annual report close adds disclosure work routed through the RegRep specialist.
- Does not produce variance commentary itself — that handoff goes to finance-variance-analysis.
Inputs
- Period being closed (month / quarter / year-end), with target close +N
- Sub-ledger inventory (AR, AP, payroll, inventory, fixed assets, intercompany, others)
- Recurring-entry catalog (standing accruals, depreciation, amortization, allocations)
- Consolidation structure (entities, intercompany pairs, currency mix)
- Materiality threshold for post-close adjustments (per firm policy)
- Prior-period close calendar for baseline cadence
- Sign-off matrix (preparer / reviewer / approver per SoD policy)
Input Sanitization
All inputs are read-only artifacts. No user-supplied values are interpolated into commands or file paths. Entity codes, account numbers, and sub-ledger identifiers are validated against the COA and entity master before use.
Procedure
Progress Checklist
Step 1: Confirm Sub-Ledger Cutoffs
For each sub-ledger, confirm cutoff timing and the last entry that will be included:
- AR — invoice cutoff, cash-receipts cutoff, credit-memo cutoff
- AP — invoice receipt cutoff, expense-report cutoff, manual-vendor cutoff
- Payroll — pay-period boundary, accrued-payroll calculation
- Inventory — physical / cycle count, in-transit treatment, standard-cost roll
- Fixed assets — additions, disposals, depreciation run, impairment review
- Intercompany — settlement cutoff, FX rate fix
Document each cutoff with an owner and a cutoff timestamp.
Step 2: Run Scheduled Accruals and Recurring Entries
Execute the recurring-entry catalog in dependency order:
- Standing accruals (utilities, professional fees, bonus, vacation)
- Depreciation and amortization
- Allocations (overhead, shared services)
- Lease accounting (ASC 842 / IFRS 16) entries
- Reversing entries from prior period (verify they actually reversed)
Cross-check actuals against accrual estimates; flag delta > materiality threshold for true-up.
Step 3: Reconcile Balance-Sheet Accounts
Hand off each balance-sheet account to finance-reconciliation. Track completion in the sign-off matrix. Reconciliation completion is a gate to Step 4.
Step 4: Run Consolidation and Intercompany Eliminations
- Translate foreign entities (ASC 830 / IAS 21): income statement at average rate, balance sheet at period-end rate, equity at historical, CTA to OCI.
- Eliminate intercompany payables / receivables, intercompany sales / cost, intercompany profit in inventory.
- Confirm intercompany pairs net to zero by entity pair and by account.
Step 5: Generate Trial Balance and Variance Commentary
Produce the consolidated trial balance and bridge to prior period and to plan. Hand off to finance-variance-analysis for commentary on actual-vs-plan and actual-vs-prior. Variance completion is a gate to Step 6.
Step 6: Post-Close Adjustments
For items identified after the trial-balance freeze:
- Below materiality threshold → log in passed-adjustment schedule
- Above threshold → re-open period, post adjustment via finance-journal-entries, re-run consolidation
- Document each adjustment with owner, root cause, and prevention plan
Step 7: Sign-Off and Lock Period
Capture sign-offs per the SoD matrix (preparer / reviewer / approver). Lock the period in the GL. Distribute close package: trial balance, variance commentary, sign-off matrix, post-close adjustment log.
Compaction resilience: If context was lost during a long session, re-read the Inputs section to reconstruct the period and sub-ledger inventory, check the Progress Checklist for completed steps, then resume from the earliest incomplete step.
Handoff
- For each balance-sheet account, hand off to finance-reconciliation.
- For each accrual or adjustment entry, hand off to finance-journal-entries.
- For variance commentary on the consolidated trial balance, hand off to finance-variance-analysis.
- If the close reveals a control failure, emit a cross-specialist handoff to the Auditor specialist (and finance-controls-audit).
Output Format
# Close Package: [Period]
## Close Calendar
| Day | Date | Activity | Owner | Predecessor | Status |
|-----|------|----------|-------|-------------|--------|
| -1 | ... | Sub-ledger cutoff communications | ... | — | ... |
| 0 | ... | Period-end | ... | — | ... |
| +1 | ... | AR / AP cutoff confirmations | ... | Day 0 | ... |
| +2 | ... | Accrual run | ... | Day +1 | ... |
| +3 | ... | Recon kickoff | ... | Day +2 | ... |
| ... | ... | ... | ... | ... | ... |
| +N | ... | Period lock | ... | Sign-offs | ... |
## Sub-Ledger Cutoff Confirmations
| Sub-Ledger | Cutoff Timestamp | Owner | Confirmed |
|------------|------------------|-------|-----------|
| AR | ... | ... | [ ] |
| AP | ... | ... | [ ] |
| Payroll | ... | ... | [ ] |
| Inventory | ... | ... | [ ] |
| Fixed Assets | ... | ... | [ ] |
| Intercompany | ... | ... | [ ] |
## Accrual Schedule
| # | Description | Account | Amount | Reverses | Owner |
|---|-------------|---------|--------|----------|-------|
| 1 | ... | ... | ... | ... | ... |
## Sign-Off Matrix
| Step | Preparer | Reviewer | Approver |
|------|----------|----------|----------|
| Sub-ledger cutoffs | ... | ... | ... |
| Accrual run | ... | ... | ... |
| Reconciliations | ... | ... | ... |
| Consolidation | ... | ... | ... |
| Trial balance / variance | ... | ... | ... |
| Period lock | ... | ... | ... |
## Post-Close Adjustment Log
| # | Description | Amount | Above / Below Threshold | Disposition | Root Cause |
|---|-------------|--------|------------------------|-------------|------------|
| 1 | ... | ... | ... | ... | ... |
## Close Conclusion
- [ ] All sub-ledgers closed and reconciled
- [ ] All recurring + accrual entries posted
- [ ] Consolidation and intercompany eliminations clean
- [ ] Trial balance signed off; variance commentary distributed
- [ ] Period locked at: [timestamp]
Quality Checks
Evolution Notes