Process Manual
Process Manual
Process Manual
Preparation of Audit
Schedules
Table of Contents
1. Change History…………………………………………………………………………………………………………..2
2. Introduction……………………………………………………………………………………………………………….2
2.1. Purpose………………………………………………………………………………………………………………2
2.2. End-user…………………………………………………………………………………………………………… 2
2.3. Due date of submission………………………………………………………………………………………2
3. Transactions……………………………………………………………………………………………………………….2
3.1. Preparation of Sales, Cost of Sales & Back out Sales……….………....………….…………..2
3.2. Preparation of Sales Report……………………………………………………………………………….5
3.3. Preparation of accounting entries…………………….....…………………………………….…….28
3.4. Variance Checking…………………………………………………………………………………………….33
4. Attachments….……………..………………………………………………………………………………………....36
5. Approval, post approval procedures, and filing…………………………………………………………36
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Preparation of Sales Report
1. Change History
2. Introduction
2.1. Purpose
Audit Schedules are prepared in order to provide guidelines to the organization in preparing
specific information presented in a specific way that assists the audit. This is done to ensure
sufficient compliance with the requirements of the management and to track and improve
efficiency of operational processes.
2.2. End-user
Management
The report helps the management to make decisions for the company.
Stakeholders
The reports should be submitted to the management by the end of the month following the
year ended.
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Preparation of Sales Report
3. Transactions
3.1. Preparation of Sales, Cost of Sales & Back out Sales
3.1.1. Generate contracts for the year from SAP Transaction Code: ZRER011
Field Values
Company Code 1000
Contract
Business Entity TRP (Project code)
Contract Type
Execute. Click
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Preparation of Sales Report
Click .
Click to export file to spreadsheet.
Save to the desired file location.
3.1.2. Get all the contract number of booked accounts and identify year booked as
sales from SAP Transaction code: RECARSCN
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Input the following for Process Reminder Dates for Contracts initial screen:
Field Values
Company Code 1000
Contract Input all the booked contract numbers
Delete details in the Selection of Reminder Dates and Click Open and Completed
Execute. Click
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Preparation of Sales Report
Click .
Click to export file to spreadsheet.
Save to the desired file location.
3.1.3 Prepare the report with the following details and format:
a. Buyer’s Name
b. Rental Object
c. Contract Number
d. Sales
e. Cost of Sales
f. Selling Price Ex Vat
g. Area
h. Year Booked as Sales
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Input the following for Measurements for Contract Objects initial screen:
Execute. Click .
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Preparation of Sales Report
Field Values
Company Code 1000
G/L Account 4110010, 4110020, 4110060, 4110070,
5110010
All items
Posting Date To: Last day of the year of the report
Restrictions Insert all Contract Numbers
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Execute. Click .
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Accounts Receivable Confirmation is one of the external audit requirements requested by the
company’s external auditor to confirm the correctness of our records.
External Auditor will provide us the list of their samples and template for us to accomplish.
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3.2.1. After receiving the list, prepare the confirmation with the template provided.
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3.2.1.3 Fill out the template with the details generated in SAP.
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Execute. Click .
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Input the following for Collection Report initial screen:
Field Values
Company Code 1000
Fiscal Year 2021
Receipt Date to 03/23/2021
Contract Number *contract numbers*
Business Entity KUR
Execute.Click .
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Right click ‘Payment Description’ column and click ‘Set Filter’. Input the following principal
related description:
1. RESERVATION FEE
2. MA-PRINCIPAL
3. DOWNPAYMENT
4. LUMP SUM
5. TURNOVER BALANCE
Click .
Click to export file to spreadsheet.
Save to the desired file location.
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Input the
following for
G/L Account
Line Item
Browser
initial
screen:
Field Values
Company Code 1000
G/L Account Advances from customers, AR Partial, Output
Vat Payable
All Items
Posting Date to 03/23/2021
Restrictions *Contract numbers*
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Execute. Click .
Execute. Click .
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Right click Contract Number and G/L: SText while pressing “ctrl” and click Subtotal.
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Input the
following for
RERAPP
initial
screen:
Field Values
Company Code 1000
Contract Number *contract numbers*
Posting Date *date of last working day for the month*
Document Date *date of last working day for the month*
Posting Period *month number*
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Execute. Click .
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3.3 Preparation of accounting entries
3.3.1 Formula for Sales entry
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3.3.2 Entry
3.3.2.1 Sales entry for EXEMPT accounts.
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3.3.2.3 Sales entry for VATABLE PARKING accounts.
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3.4.1 Total Collections should be equal to Total GL
3.4.2 AR Current in to be set up per RERAPP should be equal to Balance less AR partial per GL.
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3.4.3. Selling Price ex VAT should be equal to Advances from customers per Sales Entry +
Output VAT Payable per Sales Entry.
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b. If variance is more than a peso, there might be an overpayment, of which amount will
be retained in Advances from Customers.
4. Attachments
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All generated files should be attached to the sales report.
Details in the report should also be linked to the individual attached generated files.
After the report is approved, preparers will be informed to execute RERAPP of the
accounts.
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Preparation of Sales Report
Get variant by clicking and choose PA-RERAPP.
Field Values
Company Code 1000
Contract Number *contract numbers*
Posting Date *date of last working day for the month*
Document Date *date of last working day for the month*
Posting Period *month number*
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Execute. Click .
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Check if Total Gross amount is the same with the previously
generated RERAPP.
A. If equal, execute RERAPP.
Click .
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Execute. Click .
B. If not equal, there might be posted payments after cutoff date that needs to be resetted
and conditions that needs to be reversed. Check for payments from cutoff date to
execution date to Transaction Code: ZFIR011.
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After approval, the report will be sent to General Accounting for execution of Sales
entry in SAP.
5.2. Filing
After approval and execution of entry, General Ledger should be checked in SAP if
Sales Entry were properly recorded. Sales Report for the Year and Sales, COS in unit &
in Peso will also be updated.
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