Set up client details, audit period, framework, and industry for this engagement.
Engagement Details
Client Acceptance
Evaluate client acceptance/continuance and prepare the engagement letter.
Firm Setup
Configure firm branding, workbook theme, and saved profiles.
Trial Balance
Import, manage, and prepare your trial balance data.
Account Mapping
Map GL accounts to FS captions and generate financial statements.
📋 Auto-Build Lead Schedules
Automatically group TB accounts into audit sections and create individual Lead Schedule sheets.
Active TB: — none —
Pick one FS Caption to build a single Lead Schedule sheet for that audit area.
📊 Financial Statements Generator
Generate a complete, KPMG-style set of Financial Statements (Cover, IS, BS, SCE, SCF, Notes incl. Accounting Policies) from the active Trial Balance — dynamically tailored to your industry.
Materiality
Determine overall, performance, and trivial materiality thresholds.
Audit Strategy
Design your audit approach — planning memo, programme, and compliance scope.
Preliminary Analytics
Understand the entity through ratio analysis, variance analysis, and Benford's Law.
Risk Assessment
Identify and assess risks of material misstatement.
Internal Controls
Document understanding of controls via walkthroughs and the risk-control matrix.
Assertions
Map assertions to accounts and build the audit summary.
Audit Response
Design responses to assessed risks — select ToD/ToP areas for fieldwork.
Substantive Testing
Perform tests of details, tests of procedures, and extract audit samples.
Substantive Analytics
Journal entry testing, duplicate detection, related party analysis, and more.
Confirmations & Reconciliations
Send confirmation letters, verify opening balances, and reconcile bank statements.
IFRS/IAS Standards
Generate standards-specific audit workpapers.
Calculations
Depreciation recalculation, IFRS 16 lease modelling, and inventory count.
Workpaper Builder
Design custom workpapers with drag-and-drop sections.
Engagement Tailoring
Review and confirm which audit documents to include. Auto-populated from your Trial Balance, industry, and jurisdiction. Adjust answers then confirm to build your document manifest.
Click Auto-Populate from TB to generate tailoring questions based on your Trial Balance, industry, and jurisdiction.
Lifecycle Documents
All audit documents across every phase. Click any document to generate it on demand. Track progress with status indicators.
Confirm tailoring first to see your document list.
Audit Dashboard
Generate the Dashboard home sheet — a master index of all audit documents with progress tracking and traceability summary.
Creates (or updates) the DASHBOARD sheet as the first sheet in your workbook. Shows all documents, status, progress bars, and traceability summary.
Generate dashboard to see progress summary.
Audit Documentation
Select audit areas and phases to generate ISA-compliant workbooks with dynamic testing grids linked to your Extended Trial Balance. Each phase generates procedures specific to Planning, Walkthrough, Risk Assessment, Test of Controls, Substantive Testing, Analytical Procedures, or Completion.
Loading audit areas...
0 sheets selected
Generated Workpapers
View and manage generated phase workpapers. Track completion status across all audit areas and phases.
No workpapers generated yet.
Go to Phase Select to select areas and phases, then click Generate Workbook.
Test of Details
Legacy single-area Test of Details and Test of Procedures generation.
Wrap-Up
Subsequent events, going concern, written representations, and completion memo.
Audit Adjustments
Build the Extended Audit Trial Balance and record audit adjustments.
Findings
Findings log, completeness checklist, and annotations export.
Review & QC
Review queries, QC review checklist, and engagement sign-off.
Compliance Report
Generate the regulatory compliance workbook.
QC Review
Upload a draft Word/PDF (or paste text) to scan for grammar, note-reference, numerical, and formatting errors. Download an annotated copy with issues highlighted.
📄 Drop a Word or PDF file here
or click to browse — max 10MB
⚠ PDF text extraction may be less accurate than Word documents. Review results carefully.
Export & Index
Export to PDF, generate workpaper index, and auto-number workpapers.
Archive
Cross-reference linking, workpaper search, and audit file assembly.
Verify Tools
Check client data for accuracy — cast/cross-cast, sequence gaps, roll-forward, rounding, and completeness scanning.
GL Cleaner
Clean and standardise messy general ledger exports from any accounting system � ready for audit in minutes.
💾 Snapshot & Undo
Save a copy of the active sheet before making changes. Restore if anything goes wrong.
🚀 One-Click Clean Pipeline
Run a full clean sequence on the active sheet in one click. Check the steps to include.
🧹 Clean & Prepare
Duplicates action:
⚙ Structure Data
Date format:
🗂 Combine Sheets
Merge all sheets in this workbook into a single consolidated sheet.
🔍 Audit Intelligence
Large-tx threshold:(blank = auto-calculate)
📋 Opening Balance Confirmation PRO
Confirm prior-year closing balances agree to the GL opening balances. Auto-detects GL format from any accounting software.
Step 1 � Detect GL Format
Software�
Confidence�
Header row�
Data starts�
Columns found�
Accounts�
OB rows�
✎ Override detected columns
Step 2 � Financial Year
Step 3 � Extract & Confirm
Step 4 � Compare with Prior Year
🏦 Bank Reconciliation PRO
Paste book entries and bank statement items. Auto-match by amount and date (�3 days), then produce a reconciliation workpaper.
📂 Import from File FIRM
Paste CSV/TSV data or drag-and-drop a file. Auto-detects delimiter and previews before import.
Format & Enhance
Fix number formats, date styles, signs, layout, and save formats for reuse � in seconds.
🔢 Number Manipulation
📅 Date Formats
📐 Layout & Highlighting
🔤 Text & Font Tools
📦 Borders Toolkit
🦓 Zebra Stripes
Apply alternating row colours � ideal for long trial balances and lead schedules.
📊 Selection Statistics
Instant footings check � sum, count, average, min & max for the selected range.
Sum
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Count (numeric)
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Non-blank
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Average
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Min
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Max
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🎨 Format Store — F1 to F4
Save the format from any cell, then apply it instantly across the workbook.
🖨 Print-Ready Formatting
Format the active sheet for professional printing or PDF export.
Select sheets, apply layouts & export the full audit file as PDF
Audit Sampling
ISA-compliant sampling methods. Select a method, configure, then extract your sample directly in Excel.
Method & Parameters
Sample Documentation
Tickmarks
Click a tickmark to insert it into the selected cell(s). Colours are applied automatically.
Standard Tickmarks
Sign-Off
Insert Legend
Drop a formatted tickmark legend into the current sheet.
✏️ Custom Tickmarks FIRM
Define your own tick symbols with meanings � saved to the workbook.
Materiality PRO
Calculate overall, performance, and trivial materiality � ISA 320 compliant.
🧮 Materiality Calculator
Results
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Overall Materiality
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Performance Materiality
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Trivial Threshold
Analytics
Journal entry testing, variance analysis, and anomaly detection on the active sheet.
📓 Journal Entry Testing (JET)
Detect anomalies and risky patterns in your journal entry data.
↔ EATB Variance Analysis PRO
Full Extended Trial Balance variance — grouped by FsCaption → NoteCaption → individual accounts. Planning & Completion variances with ISA 520 audit commentary.
📊 Quick Pivot
Create a formatted summary pivot from the active sheet data.
📈 Benford's Law Analysis PRO
First-digit distribution test � detect fraud/error patterns (ISA 520).
💳 Duplicate Payment Detection PRO
Flag same vendor + same amount within N days � catches duplicate payments.
🔗 Related Party Identifier PRO
Paste related party names → highlights matching GL descriptions/narrations.
📅 Ageing Schedule PRO
Generate an AR / AP ageing analysis from the active sheet. Buckets: Current, 30, 60, 90, 120+ days.
📊 Financial Ratios PRO
ISA 520 analytical procedures � auto-populated from the active Trial Balance. Industry-dynamic: ratios, benchmarks, and regulatory context adjust to your selected industry.
Trial Balance
⚙ Manage Master Data (NoteCaption / FsCaption) ▸
Add custom NoteCaption entries to the master registry. These will appear in TB templates, Extended TB, Lead Schedules, Audit Summaries, and all downstream workpapers.
➕ Add New NoteCaption
Custom Entries (0)
No custom entries yet.
📊 Audit Summary (by FS Caption)
Uses the Trial Balance selected above. Pick an FS Caption (note heading) to generate an audit summary sheet. Each FS Caption groups multiple NoteCaption sub-classifications.
Active TB: — none —
📋 Extended Audit Trial Balance (EATB)
Generates the Big-Four-style EATB � unadjusted CY balance, one column per audit adjustment (AJE / RJE), final adjusted balance, uncorrected misstatements column, PY comparative and variance. Produces two sheets: "Extended TB" and "Audit Adjustments".
📋 Audit Adjustments (AJE / RJE)
➕ Add / Edit Adjustment
Account
Debit
Credit
Running totals: 0.00 Dr · 0.00 Cr⚠ Out of balance
Effect preview
Fill in account + amount to see the projected balances.
Filter:·
Status
Ref
Type
Description
WP
Amount
Actions
No adjustments yet — add one above or load from sheet.
Workpapers
🔍 Workpaper Search
Search across all sheets in this workbook by text, WP reference, or cell content.
📋 Audit Templates
Insert a pre-formatted workpaper structure into your workbook.
Specify columns in the active sheet containing TB data:
🔍Test of DetailsPRO
Select the industry and financial statement area to generate a customised test of details with industry-aware assertions, procedures, and columns driven by your Trial Balance.
🔍Test of ProceduresPRO
Drill into any individual audit procedure from a Test of Details area. Generates a dedicated, procedure-specific workbook with custom testing columns, execution programme steps, required documents checklist, and pass criteria � each tailored exactly to the procedure under test.
🆕 New Tools (18 of 18)
📋 A. Audit Evidence & Testing (5 tools)
Tool 1 — Walkthrough Documentation (ISA 315): see the dedicated Walkthrough Documentation section elsewhere in the taskpane.
Tool 2 — Inventory Count Sheets (ISA 501)
Locations (one per line — name only)Count Teams (optional pre-fill)
Tool 3 — Depreciation Recalc
Asset Register (one per line: description|assetClass|cost|residual|usefulLife|acqDate|clientDepr|taxWDV|periodIndex)
Ageing Buckets (one per line: bucket|balance|defaultRate%)BOG Staging (only if checkbox above ticked: Current|OLEM|Substandard|Doubtful|Loss balances)
🗂 B. Engagement Management (4 tools)
Tool 6 — Engagement Letter
Tool 7 — Time Budget vs Actual
Charge-out rates (GHS/hr)Sections (one per audit area)
Format: name|partnerHrs|managerHrs|seniorHrs|juniorHrs (one per line)
Tool 8 — Staff Assignment Matrix
Team Members (one per line: name|role)Audit Sections (one per line: section|primary|secondary|planStart|planEnd|status)
Status: Not Started / In Progress / Complete. Dates as YYYY-MM-DD.
Tool 9 — Audit Difference Schedule (ISA 450)
📈 C. Analytical & Data Tools (4 tools)
Tool 10 — Multi-Period Trend Analysis
Accounts (one per line: name|Y1|Y2|Y3|Y4|Y5)
Tool 11 — Ratio Trending
Financials per Year (one row per metric, comma-separated values)
Format per line: metric|Y1,Y2,Y3,Y4,Y5
Tool 12 — Intercompany Reconciliation
Entity Pairs (one per line: entityA|entityB|aRecv|aPay|bRecv|bPay|currency|fxRate|explanation)
Currency = GHS keeps fxRate=1; for FC use fxRate to GHS. Explanation only needed if balances mismatch.
Tool 13 — IAS 21 Currency Revaluation
Monetary Items (one per line: account|fcAmount|historicRate|nature)
Nature: Operating | Financing
📝 D. Reporting & Completion (3 tools)
Tool 14 — Management Letter
Manual Findings (one per line: ref|area|riskLevel|description|impact|recommendation|targetDate)
riskLevel: Critical | High | Medium | Low. Findings from auditflow_findings localStorage are imported automatically.
Tool 15 — Audit Report Generator (ISA 700)
KAMs (one per line: matter|response)
Tool 16 — Group Audit Instructions (ISA 600)
Significant Risks (one per line: risk|level|procedure|assertion|expected)
Level: High / Medium / Low.
🇬🇭 E. Ghana-Specific (2 tools)
Tool 17 — NIC Returns (Insurance)
Tool 18 — GRA Tax Computation
Add-Backs (one per line: description|section|amount)Deductions (one per line: description|section|amount)Capital Allowances (asset|cost|taxWDV)
Asset class one of: Buildings, Plant & Machinery, Vehicles, Computers, Intangibles, Furniture
Quarterly Instalment Payments
✉ Confirmation Letters FIRM
ISA 505 � Generate bank, receivables, legal, or insurance confirmation letters. Mail-merge from a list.
☑ Completeness Checklist
Audit file completeness tracker. Generates a checklist of required file components by engagement type.
✍ Sign-Off Panel PRO
Stamp Preparer / Reviewer / Manager sign-off into the active sheet header.
🔗 Cross-Reference Linking PRO
Link the selected cell(s) to a target sheet/cell with clickable hyperlinks. Use Pick from Selection to capture the target by selecting a cell on another sheet first.
Select a column range (e.g. L2:L20), then click Insert. Each cell will link to the same target cell, using the cell's existing value as the tag label.
🔢 Workpaper Numbering PRO
Auto-assign WP references by audit section.
🗺 Assertions Mapper FIRM
Map audit procedures to CEAVOP assertions using FS Captions from the active Trial Balance. Each FS Caption (note heading) groups its NoteCaption sub-classifications.
Active TB: — none —
📥 Export to PDF PRO
Export selected sheets as a formatted PDF bundle.
Review Query Log
Log, respond to, and clear review queries across all workpapers in this file.
📋 Review Log Sheet
Create or reset the Review_Log sheet for this engagement.
📝 Raise a Review Query
Auto-detects active sheet and selected cell range. Fill in your query and click Log.
Active Location
Sheet(click Refresh)
Cell / Range(click Refresh)
✅ Respond to a Query
Enter the query reference, your response, and a hyperlinked supporting workpaper reference.
📊 Query Summary
Live counts from the Review_Log status column (only logged rows counted).
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Open
�
Responded
�
Cleared
Audit Annotations
Raise review notes, queries, and findings on any Excel range. Non-destructive — your figures are never overwritten.
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Role: —
Select an engagement to begin raising annotations.
Active Selection
—
Raise a Note
New Review Note
Register of Notes
No notes yet.
📚 ISA Audit Templates
ISA-compliant workpapers for Planning and Completion. Adapts audit cycles, RoMMs, and procedures to the selected industry profile from your Trial Balance. Requires Firm plan.
Template Settings
📁 ISA Planning Templates
Insert ISA-compliant planning workpapers into your workbook.
📁 ISA Completion Templates
Insert ISA-compliant completion workpapers into your workbook.
Templates for auditing financial instrument classification, measurement and ECL.
📁 Revenue & Contracts
Templates for auditing revenue recognition and insurance contract accounting.
📁 Business Transactions & Equity
Templates for auditing acquisitions, share schemes and disposal groups.
📁 Assets & Leases
Templates for auditing leases, impairment, intangibles and investment property.
📁 Tax, Obligations & Currency
Templates for auditing deferred tax, pensions, provisions and foreign currency.
📁 Industry-Specific Standards
Standards specific to the selected industry � revealed automatically when you choose an industry above.
Regulatory & Compliance Pack
Generate a comprehensive, industry-specific and country-specific compliance workbook to help auditors gather evidence and document regulatory compliance.
🌍 Compliance Scope
📋 Included Compliance Sections
All sections are included by default. Uncheck to exclude from the workbook.
🚀 Generate Compliance Workbook
Creates a multi-sheet compliance workbook in Excel with checklist rows, status dropdowns, evidence columns, findings and management response tracking. Covers all applicable laws and regulations for the selected country and industry.
📚 About This Compliance Library
The compliance library covers Ghana's regulatory landscape across all major industries: