Zoey Rasch
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Recent activity by Zoey Rasch-
July 2025 - Release Notes
Learn More about the updates released in July 2025.🚀 New Module Alert: Management Meeting Module 🚀Management meetings are a pivotal part of every transaction advisory cycle, yet prep has traditiona...
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Materiality in the Journal Entry Testing Workpaper
Journal entry testing is a required response to fraud risk under auditing standards (AU-C 240 / ISA 240 / PCAOB AS 2401). The objective is to identify journal entries and adjustments that could res...
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Customize the Look and Feel of your Client-Facing Excel Deliverables
Audit Sight’s Brand Style Configuration allows you to control how client-facing Excel reports (such as Management Meeting workpapers) are formatted. This ensures your outputs align with your firm’s...
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How to Review the Standard Cash Proof
Overview Standard Cash Proof is designed to identify common, high-confidence reconciling items between cash activity per the general ledger and bank statements. The results are review-dependent an...
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September 2025 - Release Notes
Learn More about the updates released in September 2025.🚀 New Module Alert: Audit & Review Analytics Module 🚀In every audit engagement, identifying financial risk early is critical—but getting ther...
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Audit & Review Analytics FAQs
General InformationWhat Data Required to Run the Audit & Review Analytics Module?To run the Audit & Review Analytics Module, you need to only provide Accounting Data.Accounting Data:General Ledger ...
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AUS Template Import Process Improved with New Automation
🚀 Smarter, Faster AUS Template Imports at Audit SightWe’ve made it even easier to get your data into Audit Sight with our latest release: an upgraded AUS Template import experience, packed with aut...
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Understanding Bank Transfers and Bank Sweeps in Cash Proof
Bank transfers and bank sweeps are common reconciling items in the proof of cash. Audit Sight identifies and categorizes these transactions differently depending on whether you are using Standard C...
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Reviewing the Journal Entry Workpaper
The Journal Entry Workpaper (JE WP) is designed to help auditors assess journal entry completeness, scope journal entry testing, and determine whether additional audit procedures are required.This ...
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How Chart of Accounts Mapping Drives Accurate Reconciling Items
OverviewBoth Cash Proof – Standard and Cash Proof – Advanced rely on accurate Chart of Accounts (COA) mapping to consistently identify missing data and generate appropriate reconciling items. This ...