Quarterly Financial Review Workflow
Streamline your fiscal oversight with our Quarterly Financial Review Workflow. Designed for seamless accounting management, this automated process ensures precision in auditing, simplifies reconciliation, and delivers actionable insights to optimize your company's financial health every three months.
Този шаблон е инсталиран 2 пъти.
Старт
Начало на работния поток/процеса.
1. Fetch Unreconciled Expenses
Retrieve all expense entries from the Expenses Data Model where status is 'Pending'.
2. Calculate Total Quarterly Expenses
Sum the 'Amount' property of all retrieved unreconciled expenses.
3. Fetch Budget Allocations
Retrieve budget limit entries from the Budget Data Model for the current quarter.
4. Calculate Budget Variance
Subtract Total Quarterly Expenses from Total Budget Allocation to find the remaining balance.
5. Assign Audit Task
Create a task for the Finance Manager to review the variance report.
6. Generate Quarterly Summary Entry
Create a new entry in the Quarterly Reports Data Model containing the calculated totals and variance.
7. Create Approval Task
Create a task for the CFO to approve the final quarterly financial summary.
8. Update Expense Status
Update all retrieved unreconciled expenses to 'Reviewed' status.
9. Generate Final Financial Report
Create a comprehensive PDF report based on the Quarterly Summary Entry and associated tasks.
10. Notify Stakeholders
Send an email to the Executive Board with the link to the new Quarterly Financial Report.
Край
Край на работния поток/процеса.
Начало на работния поток/процеса.
Retrieve all expense entries from the Expenses Data Model where status is 'Pending'.
Sum the 'Amount' property of all retrieved unreconciled expenses.
Retrieve budget limit entries from the Budget Data Model for the current quarter.
Subtract Total Quarterly Expenses from Total Budget Allocation to find the remaining balance.
Create a task for the Finance Manager to review the variance report.
Create a new entry in the Quarterly Reports Data Model containing the calculated totals and variance.
Create a task for the CFO to approve the final quarterly financial summary.
Update all retrieved unreconciled expenses to 'Reviewed' status.
Create a comprehensive PDF report based on the Quarterly Summary Entry and associated tasks.
Send an email to the Executive Board with the link to the new Quarterly Financial Report.
Край на работния поток/процеса.
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