New Employee Onboarding Checklist (Accounting Department)
Onboarding workflow for a new hire joining the accounting department of a public firm or in-house finance team. Covers pre-arrival IT/access setup, Day 1 HR and compliance, role-specific software training, and 30/60/90-day performance review.
Pre-Arrival Setup
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Confirm role classification and start date
Verify W-2 vs 1099 status with HR before any systems are provisioned. Misclassifying a staff accountant as a contractor creates payroll-tax exposure and IRS Form SS-8 risk later. Capture the role level (Staff, Senior, Manager) since access tiers in the GL and tax software depend on it.
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Provision email and Microsoft 365 license
Create the firm email, assign the M365 license, and enroll the account in MFA. MFA on email is a Safeguards Rule expectation and a hard requirement under most cyber-liability policies.
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Create accounts in GL and tax software
Provision QuickBooks Online Accountant, Xero, or Sage Intacct access at the appropriate role level. For tax staff, add UltraTax / Lacerte / ProConnect / Drake users and assign preparer permissions. Do not grant admin or partner-level rights by default — use least privilege.
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Issue laptop with full-disk encryption
BitLocker or FileVault enabled, EDR agent installed, and the device enrolled in MDM. IRS Pub 4557 and the FTC Safeguards Rule require encryption of any device that touches client PII or tax data.
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Arrange building access and parking credentials
Day 1 HR and Compliance
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Complete Form I-9 and E-Verify submission
Section 1 must be completed by end of Day 1; Section 2 within three business days of start. Inspect List A, or List B + List C documents in person. Late I-9s draw ICE penalties starting at $281 per form.
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Collect W-4 and state withholding forms
Federal W-4 plus the state equivalent (e.g., IT-2104 in NY, DE 4 in CA, A-4 in AZ). Enter into Gusto / ADP / Paychex before the first pay run; mid-cycle changes trigger out-of-band tax deposits.
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Sign engagement confidentiality and independence attestations
Required for any staff who will touch attest engagements. Capture the hire's covered-person disclosures (spouse employment, brokerage holdings) so partner can run the AICPA independence check before assigning audit or review work.
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Walk through the firm WISP and data-handling rules
Cover the named cases: client SSNs and tax data live only in SmartVault / TaxDome / ShareFile, never on personal email or personal Dropbox. Reference the firm's incident-response steps and the IRS data-theft reporting line. WISP training is a paid-preparer requirement under IRS Pub 5708.
Preparer Credentials Verification
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Verify PTIN and CPA/EA license status
Run the IRS PTIN directory and the state board lookup. A lapsed PTIN renders any return signed during the gap unfiled for Circular 230 purposes. Capture license number, expiration, and CPE compliance status.
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Enroll the preparer in the firm EFIN
Add the new preparer as an authorized user under the firm's EFIN in the IRS e-Services portal. Without this, returns prepared by the hire cannot be e-filed under the firm.
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Schedule Circular 230 and ethics refresher
Cover §10.34 (positions on returns), §10.21 (knowledge of error), and §10.36 (firm procedures). Most state boards also require a state-specific ethics module — confirm jurisdiction before booking.
Software and Workflow Training
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Train on the firm chart of accounts conventions
Walk through the standard COA, class/location dimensions, and the firm's rules for adding new accounts (most adds should be a class or customer, not a new GL account). Show one cleaned-up client file and one messy 800-account file as the contrast.
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Run a sample bank rec in QuickBooks Online
Use the training-client sandbox. Have the hire reconcile one operating account, age the unreconciled items, and post the reclass AJEs. Review with the senior before they touch a live client file.
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Walk through the PBC and review-note workflow
Show how PBC requests flow through Suralink or TaxDome, how review notes are cleared and signed off in Caseware or CCH ProSystem fx, and the rule that no workpaper closes without a tickmark legend and a preparer/reviewer sign-off.
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Shadow a month-end close with a senior
Pair on one full close: bank rec, sub-ledger tie-out, AJEs, trial balance review, and lock the period in QBO. The hire observes the first close, drives the second under supervision.
Team Integration
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Assign an onboarding buddy from the accounting team
Pair with a senior accountant or tax senior — not the partner. The buddy fields the small questions (where do we file 1099 backup, who approves AJEs over $5K) for the first 30 days.
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Schedule intros with the partner and engagement leads
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Share the client roster and engagement-letter library
Walk through the firm's active engagements with scope, fee structure, and partner-in-charge. Flag any attest clients where the new hire is barred from bookkeeping work for independence reasons.
30/60/90-Day Review
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Hold the 30-day check-in with the manager
Review utilization, realization on assigned engagements, and any review-note rework rate. Surface any client-fit or workload concerns before they harden.
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Set CPE plan and license-renewal calendar
Most state boards require 40 CPE hours annually with a specific ethics requirement. Map the hire's renewal date and book courses through the firm's CPE provider (Surgent, Becker, or AICPA).
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Conduct the 90-day performance review
Capture the partner's pass/fail decision on conversion from probation, a written summary of strengths and gaps, and the next-quarter goals. A 'Needs improvement' rating routes to the remediation plan in the next step.
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Build a 60-day remediation plan
Document the specific gaps (review-note rework, missed deadlines, technical accuracy), the senior assigned to coach, and the measurable targets. HR signs off before the plan is delivered to the employee.
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