Reconciliation of Service Claim Accounts Receivable
Submitted by admin on Tue, 05/04/2021 - 15:37
Policy:
F/EA reconciles the accounts receivable service claims account <<GL Account Number>> monthly. Reconciliation of this account is completed by the 10th of the month following the month for which the reconciliation is performed.
The complete reconciliation process is the result of 6 segregated processes. A single individual does not control the entire process.
- Enter Weekly Billing to YTD Accounts Receivable, performed weekly
- Post Accounts Receivable to General Ledger, performed weekly
- Post Accruals to General Ledger, performed monthly
- Reconciliation of Program Payments to Billing Claims, performed weekly (or when payment is received)
- Post Payments to General Ledger, performed monthly
- Reconcile Accounts Receivable to General Ledger, performed monthly
- Results should be escalated to Controller or CFO for stale items
These reconciliations are performed to ensure that the F/EA is appropriately submitting service claims to the participant and tracking payments and receivables.
After performing the reconciliation, a reconciliation statement is prepared by the F/EA Accountant (or assigned staff) verified, reviewed by <<Staff Title>> (or assigned staff) who signs the bank statement, and stored at <<file path>>. Signed reconciliation sheets are stored for a minimum of 7 years per File Retention Policy.
Procedure:
Reconcile Accounts Receivable to General Ledger
Performed Monthly
Insert F/EA specific process here.
Internal Controls:
The internal controls used by F/EA to monitor this process establish responsibility, segregate duties, document procedures and ensure independent internal verification.
- <<Staff Title>> reconciles supporting documents to ensure billing is submitted appropriately and payments are applied to claims appropriately.
- <<Staff Title>> creates journal entry templates.
- Each journal entry template is used as a control document.
- Each reconciliation document is prenumbered.
- <<Staff Title>> signs and dates verifying accuracy.
- F/EA Accountant reviews supporting documents and journal entry template for completeness and mathematical accuracy.
- F/EA Accountant signs and dates journal entry template.
- <<Staff Title>> reviews supporting documents and journal entry template for completeness and mathematical accuracy.
- <<Staff Title>> signs and dates journal entry template.
- <<Staff Title>> posts journal entries.
- <<Staff Title>> reconciles General Ledger to appropriate supporting documents at each month.
- <<Staff Title>> produces reconciliation documents, verifies, signs and dates.
- <<Staff Title>> reviews, verifies, signs and dates reconciliation documents
- CFO or Controller reviews uncollectible items after <<Staff Title>> prepares and <<Staff Title>> verifies for accuracy.
- All control documents are password protected and access is restricted to F/EA Assigned staff with responsibility for account reconciliations.
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