Audit Process
Step-by-step process for app analytics and financial audit applications for gaming monetization audits — from intake to readout.
Every engagement follows the same spine so finance and live-ops know what happens when. Timelines flex; the sequence does not.
The five stages
Intake & conflict check
We confirm we are not already reviewing a competing title under an exclusivity clause, collect your questions, and propose a draft window and fee range.
Evidence room setup
You grant time-boxed access to settlement exports, mediation payouts, and analytics tables. We issue a completeness checklist before deep work begins.
Reconstruction
Monetization events and cash movements are rebuilt side by side. Material variances are tagged with source references, not slides.
Challenge pass
Finance and live-ops review draft findings with us. Disputed items are either resolved with better evidence or carried as open exceptions.
Readout & close
Final integrity memo, variance workbook, and a short list of follow-ups. Access to the evidence room is revoked on close unless you request a retention addendum.
What you prepare
- Named contacts in finance and live-ops
- Storefront and mediation admin rights for exports
- Prior board packs if restatement is in scope
- A written list of the three questions you most need answered
What we never require
- Migration onto a proprietary reporting product
- Exclusive long-term analytics contracts
- Blind access to production player databases
Natural next actions
Browse the audit catalog or request a scoped estimate with your title and window.