Audit engagement platform

Plan, execute and review audits — one workspace, every engagement.

AuditCore manages the full audit lifecycle from planning to sign-off — trial balance import, financial statements, working papers, materiality, sampling, vouching, review workflows, PBC tracking, and KYC — all in a single, purpose-built platform.

Full audit lifecycle — planning to sign-off Trial balance import & auto-mapping Collaborative review & sign-off
app.coreflow.example/Audit
Falcon Trading — FY 2025 Audit
Engagements0 3
In Progress0
Pending Review0 2
Signed Off0 4
Engagement pipeline
Recent activity
TB imported — Al Noor Trading12,431.50
WP submitted — Oasis auditfor review
Signed off — Gulf Holdingcompleted
PBC request — Falcon Suppliespending

Eight integrated modules, one audit platform

From engagement setup to final sign-off — every phase of the audit in one place.

Engagement Setup

Create and manage audit engagements with team assignment, timeline planning, scope definition, and budget tracking — the starting point for every audit.

TB Import & Mapping

Import trial balances from any source with intelligent auto-mapping to standard COA. Validate balances, map opening entries, and carry forward prior-year figures.

Financial Statements

Built-in financial statements editor with automated cross-referencing, notes generation, and IFRS/ISA compliance checks. Export-ready formatted FS.

Working Papers

Organise audit evidence with structured working paper folders, automated indexing, cross-referencing, review notes, and sign-off tracking for each WP.

Materiality & Sampling

Set overall and performance materiality, tolerable misstatement, and trivial threshold. Statistical and non-statistical sampling with automated selection.

Vouching & Testing

Design and execute test of controls and substantive procedures. Link audit evidence to assertions, document findings, and flag exceptions for review.

Review & Sign-Off

Workflow-based review with structured sign-off at each level. Review notes, comment resolution, and final engagement sign-off with audit report generation.

PBC & KYC

Provided-by-client portal for seamless document requests and collection. Integrated KYC workflows for client onboarding, risk assessment, and acceptance.

Smart TB mapping

Import a trial balance.
Watch it map itself.

AuditCore's AI mapper reads your trial balance and auto-assigns professional head codes — BS.CA for current assets, IS.REV for revenue, BS.EQ for equity, and so on. One click, and every account maps itself.

  • Excel, CSV, and direct ERP exports supported
  • AI auto-maps to engagement COA with professional head codes
  • Carry-forward prior-year balances and opening entries

Click Map with AI below — this is a simulation.

falcon-trading-tb-fy2025.xlsx 0 / 8 mapped
Account TB Balance (SAR) Mapped Head Status

Everything your audit team needs

Built for audit firms, internal audit departments, and regulatory compliance.

TB Auto-Mapping

Import any trial balance format and let AuditCore suggest the mapping. Confidence-scored matches, prior-year carry-forward, and one-click approval.

FS Preparation

Built-in financial statements editor with IFRS/ISA templates, auto cross-referencing, note generation, and draft-to-final workflow.

WP Management

Hierarchical working paper structure with automated indexing, cross-references, review notes, and sign-off at each level.

Materiality Engine

Overall and performance materiality, tolerable misstatement, clearly trivial threshold — all calculated and tracked per engagement.

Audit Sampling

Statistical and non-statistical sampling with automated selection, population analysis, and projection of misstatements.

Review Workflow

Structured multi-level review with review notes, comment resolution, electronic sign-off, and audit report generation.

PBC Portal

Client portal for document requests, secure uploads, status tracking, and automatic reminders. No more chasing emails.

KYC & Onboarding

Client acceptance workflows, risk assessment questionnaires, document verification, and regulatory compliance checks.

AI financials preparation

Define templates with tags.
AI generates the statement.

You define the template — drag in tags like {PPE} or {Receivables} into any report format. When ready, AI pulls mapped TB values and generates the full Statement of Financial Position in seconds. No manual filling.

  • User-defined templates — Statement of Financial Position, SOCI, SOCE, notes
  • Drag-and-drop tag placement, no coding required
  • AI auto-fills from mapped TB heads; recalculates totals
  • Save as template library for reuse across engagements

Click Generate below — this is a simulation.

Statement of Financial Position — Falcon Trading FY 2025 Draft
Statement of Financial Position
As at 31 December 2025 — Falcon Trading WLL

Start free with the demo sandbox

Full features, sample audit data included — no credit card, just an email.

Create your account