CPA reconciliation season CAM calendar
CAM work is easier when the firm prepares before clients forward surprise bills.
Use this calendar to plan outreach and intake.
Do not promise recovery.
Do not promise a fixed review time before files arrive.
Plan capacity, then scope each client.
Calendar
| Period | Firm action |
|---|---|
| Q4 | Build the client list and train staff |
| January | Send education notes to likely-fit clients |
| February | Start document requests for early statements |
| March | Review files and quote reviews |
| April | Run partner review and readout calls |
| May | Follow up on landlord backup requests |
| June | Close files and tag next-year reminders |
Weekly operating rhythm
Use a simple rhythm during busy weeks.
Monday:
- Review new client questions
- Assign document requests
- Check stale intake files
Wednesday:
- Review CAMAudit output
- Flag findings for partner review
- Route legal timing questions to counsel
Friday:
- Send client status updates
- Close poor-fit files
- Update next-week capacity
Staff checklist
Before season starts, staff should know:
- What CAM means
- Which clients may pay CAM
- Which files are required
- What not to promise
- When to route to a manager
- How CAMAudit fits behind partner review
Links for the season
Use the staff training checklist before outreach.
Use the fit scorecard to rank clients.
Use the document SOP during intake.
Use the monthly close trigger SOP to catch questions earlier.
Use the year two SOP after the first cycle.
Practice use
CPA reconciliation season CAM calendar should live inside the firm's advisory workflow, not in a loose folder of templates. Use it to make CAM review repeatable without making it generic. The best moment to use it is when the annual CAM package arrives. The partner should name the client goal first. Some files need a quick screen. Some need a deeper workpaper. Some should stop because the lease set is thin, the client wants legal advice, or the fee will not cover the review time. Write that call down before staff begin.
What the team should build
Turn this page into a SOP with these fields:
| Field | What to record |
|---|---|
| Client and site | Legal name, location, lease year, and owner |
| Source set | Lease, amendments, statement, backup, GL detail, or AP support |
| Scope line | What the firm agreed to check |
| Open question | The exact item that needs review |
| Evidence cite | Clause, page, statement line, or ledger source |
| Partner call | Keep, revise, ask for backup, route to counsel, or close |
Keep the artifact short enough for a manager to review in one sitting. If the file needs a long story to explain the issue, the preparer should tighten the source trail before partner review.
Staff instructions
Give staff a narrow job. They should collect the source files, mark missing items, cite the lease language, and tie each issue to a statement line or ledger account. They should not promise recovery, argue with the landlord, or tell the client the answer is final. Use plain status labels: ready for partner review, waiting on client, waiting on landlord backup, outside scope, or closed. Those labels help the firm see where time is going. They also keep the next person from rereading the whole file.
Partner review notes
The reviewer should ask four questions before the client sees anything:
- Does the scope match what the client approved?
- Does every finding cite a lease clause or billing source?
- Does the math tie to the workpaper?
- Does the wording avoid legal conclusions?
If one answer is no, hold the packet. The fee comes from judgment and signoff, not from sending more pages.
Where CAMAudit helps
Use CAMAudit once staff have the lease set, statement, and backup in order. For reconciliation season calendar, it can turn those files into a cited issue list that a manager can review. The firm still owns the work. CAMAudit sits behind the branded report, while the partner controls judgment and client advice.
Related articles for this workflow
Pair this article with the service line checklist, fit scorecard, plan guide, scope checklist, QC rubric, and client readout script. Together they form a small launch kit for a CPA or CAS firm that wants to test CAM review with a few trusted clients before adding it to the broader advisory menu.
Partner review depth notes
Use CPA reconciliation season CAM calendar before the file becomes paid client work. The partner should name the client group, the charge type, the source documents, and the review owner. That keeps the work out of commodity bookkeeping and inside an advisory package with a clear fee, scope, and review path.
Margin guardrails
Set a stop rule before staff begin. If the lease file is incomplete, the audit-rights window has closed, or the client wants legal conclusions, pause and re-scope. If the likely fee cannot cover document intake, source citation, partner review, and client readout, do not bury the time in monthly close work. CAM review is valuable because the firm applies judgment to a messy file. Price it that way.
Evidence standard
Every finding should tie to a lease clause, statement line, backup document, ledger account, or written client fact. Staff can prepare the trail, but the partner should decide whether the item is strong enough to send. If the support is thin, ask for backup or mark the item as closed. A short, well-supported packet beats a long report that forces the client to trust the software.
Client handoff
Keep the readout simple. Explain what was reviewed, what was excluded, what needs landlord backup, and what the firm recommends next. Avoid recovery promises. The client should leave with a clear record and a named owner for the next step. CAMAudit can help structure the packet, but the partner signs off before anything is delivered.
File stewardship
Before delivery, add a short manager note. State the approved scope, the source set reviewed, the items held back, and the owner for the next client step. For CPA reconciliation season CAM calendar, that note should be plain enough for another partner to understand without rereading the full file.
Save the final packet with the lease year, client site, reviewer, and open questions. If the client returns next year, the firm should see which clauses mattered, which backup was requested, and which issues were closed because support was weak.
If the review expands, write the reason before doing the work. More locations, missing amendments, legal questions, or a second client meeting can all change the fee. CAMAudit can help keep the source trail organized, but the partner decides whether the extra work belongs in the current engagement or a new one.