Ismail and Associates

CHECKLIST of AUDIT REQUISITION Documents

July 26, 2026 | by Mohmmed Ismail Miah

ISMAIL AND ASSOCIATES

Accounts | Income Tax & VAT Consultants

CHECKLIST of AUDIT REQUISITION Documents

RMG (Garments) & Textile Industry — Statutory Audit and Income Tax / VAT Compliance

Client / Company Name________________________________________________
Unit(s) Covered☐ Garments Unit        ☐ Textile Unit        ☐ Both
Financial YearFrom ____________ to ____________
Assessment Year________________________________________________
Prepared By________________________________________________
Date________________________________________________

1. General & Corporate Documents

SLDocument / Particulars RequiredProvided (/)Remarks
1Draft Financial Statements for the year 
2Draft Return of Income Tax 
3Draft Tax Computation Sheet 
4Trade License, IRC/ERC, BIN/VAT Registration, TIN Certificate (updated copies) 
5Memorandum & Articles of Association / Partnership Deed (if changed during the year) 
6Board Resolutions relevant to the year (loans, related party transactions, dividend, etc.) 
7Organogram / list of authorized signatories 
8Statutory Auditor’s appointment letter / engagement confirmation 

2. Property, Plant & Equipment (PPE) — Additions & Disposals

SLDocument / Particulars RequiredProvided (/)Remarks
1Schedule of PPE additions: Land & Land Development, Building & Other Construction, Plant & Machinery, Office Equipment, Fire Hydrant & Alarm System, Tools & Equipment, Gas Boiler & Generator, Computer Equipment, Furniture & Fixture, Vehicles 
2Requisition & Managing Director’s approval copy for capital purchases 
3Payment Voucher and Bank/Cash payment evidence 
4Bill of Entry (Customs Assessment) for imported assets 
5TDS Challan with schedule for locally purchased assets 
6Revaluation report/copy (if any revaluation carried out) 
7Details/schedule of disposal, write-off or transfer of assets during the year 
8Depreciation schedule (tax and accounting basis) with rates applied 

3. Capital Work-in-Progress (CWIP)

SLDocument / Particulars RequiredProvided (/)Remarks
1Capital Work-in-Progress schedule with supporting vouchers/bills 
2Details of capitalization made during the year (date & amount transferred to PPE) 

4. Inventory

SLDocument / Particulars RequiredProvided (/)Remarks
1Year-end stock report (Raw Materials – Fabrics, Accessories & Spare Parts, Work-in-Process, Finished Goods in Warehouse, Finished Goods in Transit for Export) with reconciliation 
2Cost sheet for consumption (raw material to finished goods) 
3L/C-wise breakup for goods in transit with customs/consignment documents 
4Physical stock-taking certificate / inventory count sheet signed by responsible officer 
5Stock valuation basis and method note (FIFO/Weighted Average, NRV comparison) 
6Slow-moving/obsolete/damaged stock schedule and provisioning basis 

5. Trade Receivables

SLDocument / Particulars RequiredProvided (/)Remarks
1Schedule of Bills/Trade Receivables — L/C or Bill No.-wise breakup 
2Bank statement evidencing realization, including ageing analysis 
3Shipping Bill / Bill of Lading copies 
4L/C copy for each outstanding bill 
5Export Realization Certificate from bank 
6Confirmation/reconciliation with customers (where applicable) 

6. Advances, Deposits & Prepayments

SLDocument / Particulars RequiredProvided (/)Remarks
1Advance to Suppliers — party-wise breakup with ledger and supporting invoice 
2Bank statement or payment instrument copy for advances made 
3Prepaid Insurance Premium — insurance policy copy, premium schedule, deposit slip/acknowledgement 
4FDR against L/C Margin and Bank Guarantee — FDR deal slip and bank statement 
5Security Deposit schedule with agreements (rent, utility, others) 
6Advance to related parties / employees — schedule with terms and recovery status 

7. Cash & Cash Equivalents / Bank

SLDocument / Particulars RequiredProvided (/)Remarks
1Cash-in-hand certificate / cash book (as at year end) 
2Bank statements for all accounts (Local Currency, ERQ, FC Held) for the full year 
3Bank Reconciliation Statements for all accounts as at year end 
4Bank confirmation/certificate directly from banks (balance confirmation) 
5Foreign currency conversion rate applied at year end (with source/reference) 

8. Advance Income Tax (AIT)

SLDocument / Particulars RequiredProvided (/)Remarks
1AIT on FDR Interest — bank certificate 
2AIT on Cash Incentive — bank certificate 
3AIT on Car Registration — BRTA challan copy 
4AIT on Export Proceeds Realization — bank certificate 
5AIT on Import (Machinery / L/C) — customs challan copy 
6Consolidated AIT schedule reconciled with tax return / IT-10B/143 

9. Related Party Balances & Transactions

SLDocument / Particulars RequiredProvided (/)Remarks
1List/schedule of amounts Due to / Due from related parties (Group companies) 
2Bank statement and amount breakup with sample-basis challan / money receipt / voucher copies 
3Acknowledgement/confirmation certificate from the related payor/payee 
4Board approval / agreement for inter-company transactions, if any 
5Basis and terms of related party transactions (interest, tenure, purpose) 

10. Long Term Loan / Liability

SLDocument / Particulars RequiredProvided (/)Remarks
1Bank-wise breakup of long-term loan with sanction letter/copy 
2Loan statement / bank statement for the year 
3Loan repayment schedule with current vs. non-current portion calculation 
4Machinery L/C accepted liability schedule and supporting documents 
5Charge/mortgage documents registered with RJSC (if applicable) 
6Summary of interest expense charged during the year 

11. Trade & Other Payables

SLDocument / Particulars RequiredProvided (/)Remarks
1Salary & Wages payable — ledger with Head Office and Factory breakup 
2Overtime payable — ledger 
3Gas & Electricity Bill (factory) — party-wise breakup, monthly bills and ledger 
4Fabrics lab test, Postage & Courier, Internet, Auditors’ fee — ledger and supporting bills 
5Creditors for goods supplied and others — party-wise breakup 
6Ageing schedule of trade and other payables 

12. Short Term Loan / Bank Facilities

SLDocument / Particulars RequiredProvided (/)Remarks
1Bank sanction copy for each facility (Acceptance – Local, Acceptance – Foreign, EDF, FDBP/IDBP, PC, PAD/Time/Demand Loan, Overdraft) 
2Bank statement for each short-term facility 
3L/C, product and currency-wise bank outstanding position statement 
4Bank certificate confirming year-end outstanding balances 

13. Revenue

SLDocument / Particulars RequiredProvided (/)Remarks
1Export sales — sales policy, L/C and packing list-wise shipment statement 
2Customs / delivery challan documents for in-transit shipments 
3Mushak-9.1 (VAT) and Bank Export Performance Certificate 
4Delivery challan statement from Commercial Department 
5Cash Incentive — bank statement and disbursement challan copy 
6Reconciliation of revenue with trade receivables and bank realization 

14. Cost of Goods Sold / Manufacturing Expenses

SLDocument / Particulars RequiredProvided (/)Remarks
1Cost of Fabric / Accessories & Spare Parts consumption — ledger and pre-cost sheet summary 
2Year-end stock report and customs/export form copy for in-transit goods 
3Manufacturing expenses breakdown: Salary & Wages, Festival Bonus, Overtime, Annual Leave Benefit — ledger, Form 108/108A, salary statement, challan, cheque 
4Gas & Electricity Bill, Insurance Premium (IAR) — supporting bills 
5Carriage Inward, C&F Charges, Repair & Maintenance, Lab Test Expenses — ledger and sample-basis vouchers 
6Opening/Closing Work-in-Process and Finished Goods reconciliation, including Form-C rebate 

15. Administrative Expenses

SLDocument / Particulars RequiredProvided (/)Remarks
1Salary & Allowance — salary statement, Form 108, challan copy 
2License, Registration & Renewal — ledger, agreement, TDS certificate/challan copy 
3Mobile Bill — ledger and sample-basis BRTA copy 
4Fuel for Vehicle — ledger and sample-basis bill copy 
5Postage & Courier — ledger and payment invoice 
6Legal & Professional Fees, Stationery, Retirement Benefit documents — supporting bills and TDS challans 

16. Selling & Distribution Expenses

SLDocument / Particulars RequiredProvided (/)Remarks
1Buying House Commission — ledger and sample-basis voucher 
2Discount of Invoice Bill — supporting schedule 
3Business Promotion Expenses (air ticket) — top sheet and vouchers 
4Carriage Outward — top sheet and vouchers 
5EXP/CO/GSP/BL/Stamp for export documents — supporting bills 
6TDS Challan for Buying House Commission, Stamp/Sample Expense, Carriage Outward 

17. Financial Expenses

SLDocument / Particulars RequiredProvided (/)Remarks
1Bank Interest — top sheet, bank statement, ledger 
2Bank Charges — full-year summary with acceptance/voucher support 
3Loan interest certificates from all lending banks 

18. Textile Unit — Additional / Unit-Specific Items

SLDocument / Particulars RequiredProvided (/)Remarks
1Capital Work-in-Progress schedule (Textile Unit — machinery installation in progress) 
2Security Deposit and Bank Guarantee schedule with agreements 
3FDR Interest Certificate 
4Group Insurance, Electricity Bill and WASA Bill — supporting documents 
5Software Service expense — invoice/agreement and TDS challan 
6Office Rent — TDS challan and rental agreement 
7Spare Parts consumption ledger 

19. Income Tax & VAT Compliance — Supplementary Checklist

SLDocument / Particulars RequiredProvided (/)Remarks
1Deferred Tax computation/statement with supporting workings 
2Deposit Analysis statement (bank-wise, for total credit turnover reconciliation) 
3TDS on Employees’ Taxable Salary — statement and challan (Sec. 50) 
4TDS against Contractors/Suppliers — statement and challan 
5TDS against Fees for Professional/Technical Services — statement and challan 
6TDS on imported/local Plant & Machinery and other capital assets — statement and challan 
7AIT deducted at source on export proceeds, cash incentive and car registration — bank certificates 
8Minimum Tax basis workings (Section 163 / turnover tax, as applicable) 
9Tax depreciation (Third Schedule) working reconciled with accounting depreciation 
10Previous year’s assessment order / acknowledgement receipt (if any) and appeal status 
11VAT Return (Mushak 9.1) copies for the year with input-output VAT reconciliation 
12Withholding VAT deduction certificates 

Prepared by (Ismail and Associates): ____________________________                  Date: ______________

Received & Confirmed by (Client): ____________________________           Date: ______________

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