Audit Readiness Checker

SkillCommerce & finance

Assess organizational readiness for financial audits (internal or external). Map assertions to account balances, check evidence completeness, score readiness using a Red/Amber/Green framework, and generate a remediation timeline. Aligned with SOX, IFRS, and GAAP audit standards. Use before scheduled audits or when preparing for first-time compliance.

Use Audit Readiness Checker in Claude, ChatGPT or Ahel Desktop

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Also: Claude Code · Cursor · Codex

Then ask your AI: use the Audit Readiness Checker skill

Details

Instructions available. Your AI can read the instructions. Execution depends on the setup they require.

Add Ahel to your AI once: Claude, ChatGPT, Cursor, Claude Code or Codex. Then ask it to use this.

Audit Readiness CheckerStart free

What this skill tells your AI

The instructions your AI receives, as published by hoavdc/codexkit in skills/codexkit-audit-readiness-checker/SKILL.md and read by Ahel’s review.

When to Use

  • 60–90 days before a scheduled external audit
  • When preparing for SOX compliance for the first time
  • After prior audit findings need remediation verification
  • When internal audit wants a pre-flight check

Procedure

Step 1 — Map Assertions to Accounts

For each material account balance, map the relevant audit assertions:

AssertionWhat It Tests
Existence/OccurrenceDid the transaction/asset actually happen/exist?
CompletenessAre all transactions recorded?
Valuation/AccuracyAre amounts recorded correctly?
Rights & ObligationsDoes the entity own/owe the amounts?
Presentation & DisclosureIs it properly classified and disclosed?
Cut-offAre transactions in the correct period?

Step 2 — Check Evidence Completeness

For each assertion per account, verify supporting evidence:

  1. Source documents (invoices, contracts, bank statements)
  2. Reconciliations (bank, intercompany, sub-ledger to GL)
  3. Approvals and authorization records
  4. Third-party confirmations
  5. Management representations and estimates documentation

Step 3 — Score Readiness

ScoreCriteria
🟢 GreenAll evidence available, reconciled, no open items
🟡 AmberEvidence partially available, minor gaps, reconciliation in progress
🔴 RedMissing evidence, unreconciled, prior audit finding unresolved

Step 4 — Generate Remediation Plan

For each 🟡 and 🔴 item:

  1. Describe the gap
  2. Assign an owner
  3. Set a deadline (must be before audit fieldwork)
  4. Define the evidence deliverable

Inputs

InputRequiredFormat
Trial balanceYesAccount list with balances
Prior audit findingsRecommendedManagement letter or audit report
Audit timelineYesFieldwork start date
Supporting schedulesRecommendedReconciliations, roll-forwards

Output

## Audit Readiness Scorecard — [Entity] — [Audit Period]

### Overall Score: 🟡 AMBER (72% ready — 12 weeks to fieldwork)

### By Account Area

| Account | Assertion | Evidence | Status | Gap | Owner | Deadline |
|---------|-----------|----------|--------|-----|-------|----------|
| Cash | Existence | Bank confirmations | 🟢 | — | — | — |
| Cash | Completeness | Bank reconciliation | 🟢 | — | — | — |
| AR | Existence | Confirmations | 🟡 | 3 confirmations pending | AR Lead | Week 8 |
| AR | Valuation | Aging + allowance | 🔴 | Allowance model not updated | Controller | Week 6 |
| Revenue | Cut-off | Shipping docs | 🟢 | — | — | — |
| PP&E | Existence | Physical count | 🔴 | Count not scheduled | Ops Mgr | Week 4 |

### Prior Findings Status

| Finding | Year | Status | Remediation |
|---------|------|--------|-------------|
| Inventory count procedures | 2024 | 🟡 In progress | New SOP drafted, testing pending |
| AR confirmation process | 2024 | 🟢 Resolved | Automated via NetSuite |

### Remediation Timeline

| Week | Action | Owner |
|------|--------|-------|
| Week 4 | Schedule PP&E physical count | Ops Manager |
| Week 6 | Update AR allowance model | Controller |
| Week 8 | Complete AR confirmations | AR Lead |
| Week 10 | Final reconciliation review | CFO |
| Week 12 | Audit fieldwork begins | — |

Definition of Done

  • All material accounts mapped to audit assertions
  • Evidence completeness checked per assertion
  • RAG status assigned to every account/assertion combination
  • Prior audit findings tracked with remediation status
  • Remediation plan with owners and deadlines for all 🟡/🔴 items
  • Timeline fits before audit fieldwork start

Examples

Prompt

Our external audit fieldwork starts in 12 weeks for FY2025.
Here is our trial balance: [paste]. Prior year findings: AR confirmation delays, inventory count gaps.
Assess our audit readiness and create a remediation plan.

Quality Criteria

  • Every finding is tied to a specific evidence source (log, test, metric)
  • Pass/fail criteria are binary and measurable — no subjective judgments
  • Severity levels are assigned with clear thresholds
  • Remediation steps are provided for all critical and high findings

Verification (4C)

CheckQuestion
CorrectnessAre all pass/fail criteria applied against the correct standard or rule?
CompletenessWere all required dimensions or checklist items evaluated?
Context-fitDoes the verification scope match the actual risk level of the deliverable?
ConsequenceIf this passed verification but had a hidden flaw, what is the worst-case impact?

Edge Cases

  • Incomplete data for full assessment — Document which checks were limited and flag for re-verification when data becomes available.
  • Ambiguous pass/fail criteria — Request clarification from the standard owner before scoring. Mark as 'Needs Review'.
  • Multiple overlapping standards — Identify the governing standard and note where others diverge.

Changelog

  • v1.0.0 — Initial release

Signals

GitHub stars
25
Forks
13
Last commit
Oct 2026
Advanced
Item type
skill
Key
codexkit-audit-readiness-checker
Source
github.com/hoavdc/codexkit