| name | financial-close |
| description | Month-end and year-end close workflow covering journal entries, reconciliations,
close procedures, and audit preparation. Delivers accurate, timely close with full audit trail.
|
| trigger | - Month-end close procedures
- Year-end close procedures
- Account reconciliations
- Preparing for audit
|
| skip_when | - Financial analysis → use financial-analysis
- Budget work → use budget-creation
- Cash flow forecasting → use cash-flow-analysis
|
| related | [object Object] |
Financial Close Workflow
This skill provides a structured workflow for month-end and year-end close using the accounting-specialist agent.
Workflow Overview
The financial close workflow follows 6 phases:
| Phase |
Name |
Description |
| 1 |
Pre-Close |
Prepare for close, gather data |
| 2 |
Transaction Processing |
Complete period transactions |
| 3 |
Reconciliations |
Reconcile all accounts |
| 4 |
Adjustments |
Post adjusting entries |
| 5 |
Review |
Quality review and sign-off |
| 6 |
Finalization |
Close period, prepare reports |
Phase 1: Pre-Close
MANDATORY: Complete pre-close checklist before proceeding
Pre-Close Tasks
| Task |
Description |
| Calendar review |
Confirm close dates |
| Cutoff communication |
Notify stakeholders of deadlines |
| Open items review |
Identify carryover items |
| System readiness |
Verify system availability |
Pre-Close Checklist
| Item |
Status |
| Prior period closed |
Required |
| Subledgers ready |
Required |
| Bank statements received |
Required |
| Intercompany confirmed |
Required |
| Cutoff communicated |
Required |
Blocker Check
If ANY of these are missing, STOP and ask:
- Prior period closed
- Bank statements available
- Key source data ready
- System access confirmed
Phase 2: Transaction Processing
MANDATORY: Complete all period transactions
Transaction Types
| Type |
Description |
| Revenue |
Sales, services, other income |
| Expenses |
Operating, non-operating |
| Payroll |
Salaries, benefits, taxes |
| Inventory |
Receipts, shipments, adjustments |
| Fixed Assets |
Additions, disposals, depreciation |
Cutoff Procedures
| Area |
Procedure |
| Revenue |
Review shipments around period end |
| Expenses |
Review invoices received post-close |
| Payroll |
Confirm payroll period alignment |
| Inventory |
Physical count if applicable |
Phase 3: Reconciliations
MANDATORY: Reconcile ALL balance sheet accounts
Agent Dispatch
Task tool:
subagent_type: "accounting-specialist"
model: "opus"
prompt: |
Perform period-end reconciliations:
**Period**: [close period]
**Entity**: [entity name]
**Accounts to Reconcile**:
- Cash and bank accounts
- Accounts receivable
- Inventory (if applicable)
- Prepaid expenses
- Fixed assets
- Accounts payable
- Accrued expenses
- Intercompany (if applicable)
- Debt
**Prior Period Workpapers**: [attached]
**Required Output**:
- Reconciliation for each account
- Reconciling items identified
- Supporting documentation
- Sign-off status
Reconciliation Standard
| Element |
Requirement |
| GL balance |
From trial balance |
| Subledger/Bank |
From supporting system |
| Reconciling items |
Each item explained |
| Support |
Documentation attached |
| Sign-off |
Preparer and reviewer |
Required Reconciliations
| Category |
Accounts |
| Assets |
Cash, AR, Inventory, Prepaid, Fixed Assets |
| Liabilities |
AP, Accruals, Debt, Intercompany |
| Equity |
Retained Earnings, Other Comprehensive Income |
Phase 4: Adjustments
MANDATORY: Post all adjusting entries with documentation
Adjustment Types
| Type |
Description |
| Accruals |
Expenses incurred not yet recorded |
| Deferrals |
Cash received/paid for future periods |
| Estimates |
Reserves, allowances, impairments |
| Corrections |
Error corrections |
| Reclassifications |
Account reclasses |
Journal Entry Standard
| Element |
Requirement |
| Entry number |
Unique identifier |
| Date |
Period end date |
| Description |
Clear rationale |
| Accounts |
Debits and credits |
| Support |
Documentation attached |
| Approval |
Required before posting |
Phase 5: Review
MANDATORY: Quality review before closing
Review Checklist
| Check |
Validation |
| Trial balance foots |
Total debits = credits |
| All recs complete |
Every account reconciled |
| All entries posted |
No pending entries |
| Variances explained |
Material changes documented |
| Controls completed |
SOX controls if applicable |
Review Levels
| Level |
Reviewer |
Focus |
| Self-review |
Preparer |
Accuracy, completeness |
| Peer review |
Another accountant |
Independent verification |
| Manager review |
Controller |
Reasonableness, policy |
| Final review |
CFO |
Overall quality |
Phase 6: Finalization
MANDATORY: Complete close procedures
Finalization Tasks
| Task |
Description |
| Period lock |
Prevent further posting |
| Reports generated |
Trial balance, financials |
| Workpapers filed |
Documentation archived |
| Close memo |
Summary of significant items |
Close Deliverables
| Deliverable |
Description |
| Trial Balance |
Final, adjusted |
| Financial Statements |
IS, BS, CF |
| Reconciliation Package |
All reconciliations |
| Close Memo |
Summary and issues |
Pressure Resistance
See shared-patterns/pressure-resistance.md for universal pressures.
Close-Specific Pressures
| Pressure Type |
Request |
Agent Response |
| "Skip that reconciliation" |
"All accounts must be reconciled. I'll complete the reconciliation." |
|
| "Post without approval" |
"Entries require approval before posting. I'll obtain approval." |
|
| "Close now, fix next month" |
"Errors compound. I'll correct before close." |
|
| "Immaterial, don't worry" |
"Materiality requires documentation. I'll document the item." |
|
Anti-Rationalization Table
See shared-patterns/anti-rationalization.md for universal anti-rationalizations.
Close-Specific Anti-Rationalizations
| Rationalization |
Why It's WRONG |
Required Action |
| "Same entry as last month" |
Each period independent |
VERIFY current validity |
| "Reconciling item will clear" |
Items need investigation |
INVESTIGATE now |
| "Small balance, skip rec" |
All accounts need rec |
RECONCILE all accounts |
| "Prior period was fine" |
Each close independent |
COMPLETE all steps |
Execution Report
Upon completion, report:
| Metric |
Value |
| Duration |
Xm Ys |
| Journal Entries |
N posted |
| Reconciliations |
N/N complete |
| Adjustments |
N |
| Review Sign-offs |
N/N |
| Result |
CLOSED/PARTIAL |
Quality Indicators
| Indicator |
Status |
| All accounts reconciled |
YES/NO |
| All entries approved |
YES/NO |
| All reviews complete |
YES/NO |
| Period locked |
YES/NO |
| Workpapers filed |
YES/NO |