Control 16.7: General ledger/SIF correspondence table
A correspondence table between the general ledger accounts and the SIF columns is kept updated.
The Financial Manager shall ensures that all elements needed to prepare the SIF are included in the correspondence table, and in particular all accounts that operate a Group/non-Group distinction (in particular the accounts for invoices or credit notes to issue, invoices or credit notes to be received).
At least once a year, the Accounting Manager checks that all the changes to the SIF accounts or to the general ledger accounts have been correctly recorded and dealt with.