Introduction to CaseWare `

In-house course

2 Days
Attendance at this seminar will secure 13 hour/s verifiable CPD points including other professional bodies (SAICA, SAIBA, ACCA, IACSA, IRBA & etc)
TRISTAN DAVID-CREWE WHITE   tristan@probetatraining.co.za

CaseWare provides you with the perfect solution for all your accounting needs. From compiling financial statements to performing your audit engagements.

It is therefore important to understand the software and how it works in order to use if effectively and efficiently.

This session is set up as an introduction to CaseWare software, to explore its layout, buttons and features.

In this session we will take you through the CaseWare interface and look at how to create a client file and import the financial information including the mapping feature, to be able to create a set of financial statements.

We’ll explain the document manager and how CaseWare sets up a client file for the respective phases of an engagement, e.g., pre-engagement, planning, etc., on a compilation of financial statements.

We will also consider how an audit engagement is affected by importing and mapping financial information including lead sheets and referencing.


  • Create a client file
  • Engagement properties
  • Document manager
  • Information store
  • Importing the trial balance
  • Mapping TB accounts to the financial statements
  • CaseWare vs CaseView documents
  • Lead sheets and documentation referencing
  • Adjusting journal entries
  • Balancing the financial statements
  • Formatting financial statements
  • Adding / editing notes to the financial statements
  • Overall compilation process including pre-engagement, planning, execution and finalisation
  • Reviewing a file and raising issues
  • File sign off /closing / wrap up / archiving