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Hospital audit workbook

Generate an Excel workbook for healthcare internal audit: admissions, discharge billing, TPA claims, pharmacy, consumables, OT, diagnostics, doctor payouts, biomedical assets, compliance and HIS controls.

Engagement profile
Select audit areas
9 RCM rows selected
AreaRiskControlTestEvidenceCadence
Admission and dischargeAdmission, consent, discharge and billing handoffs are incomplete or delayed.UHID, admission estimate, consent and discharge checklist controls.Sample patient files from admission to discharge and final billing handoff.UHID, admission form, consent, estimate, discharge summary, final bill and record tracker.Monthly
Patient billing and packagesServices, room rent, implants, procedures or consumables are omitted, miscoded or wrongly discounted.Tariff master, package master, billing cut-off and discount approval review.Match orders, procedure notes, OT/lab records and consumable issues to bill lines.Tariff master, package master, bill register, procedure notes, discount approval and final bill.Monthly
TPA and insurance claimsClaims are rejected, short-settled, duplicated, delayed or booked without service evidence.Pre-authorisation, claim submission checklist, denial review and receipt reconciliation.Trace claims to pre-auth, final bill, discharge file, settlement advice and bank receipt.Pre-authorisation, claim file, TPA portal status, denial log, settlement advice and bank receipt.Weekly / Monthly
Pharmacy and consumablesMedicines, implants or consumables are issued, returned, expired or written off without billing evidence.Batch tracking, issue-to-patient billing, return control and expiry review.Match high-value pharmacy/implant issues to patient bills and review expiry/write-off logs.GRN, batch ledger, issue slip, patient bill, return note, expiry report and implant register.Monthly
OT diagnostics and labOT, lab, radiology or procedure services are performed but not billed or billed under wrong package.Order-to-service-to-bill matching and diagnostics interface exception review.Reconcile OT/procedure/lab/radiology completion records to billing extract.OT register, procedure notes, lab/radiology orders, completion report, billing extract and cancellation log.Monthly
Doctor payoutsConsultant payouts, revenue share, retainers or incentives differ from contract terms.Approved contract, payout computation review, adjustment approval and TDS/GST review.Recompute payouts for sampled doctors against contract formula and eligible revenue.Consultant contract, payout working, procedure revenue report, adjustment approval and TDS/GST support.Monthly
Cash deposits refunds receivablesPatient deposits, cash collections, refunds, waivers or credit receivables are misstated.Daily cash count, deposit ledger review, refund approval and receivables ageing review.Reconcile collections to bills and bank; test deposits, refunds, waivers and old receivables.Cash count, receipt register, bank statement, deposit ledger, refund note, ageing report and approval.Daily / Monthly
Biomedical assetsMedical equipment, AMC, calibration, downtime or asset tagging is unsupported.Capex approval, asset tagging, AMC/CMC tracker, calibration and downtime log.Physically verify selected equipment and inspect calibration, maintenance and capitalisation support.Capex approval, invoice, installation report, FAR, asset tag, AMC/CMC contract and calibration certificate.Quarterly
Compliance patient data ITGCLicences, scheme requirements, HIS access, billing master changes or patient-data access are uncontrolled.Compliance calendar, HIS role access, billing master approval and audit-log review.Review licences, HIS users/leavers, tariff changes and sensitive access logs.Licence tracker, statutory returns, HIS user list, role matrix, master change log and audit-log extract.Monthly / Quarterly

Use this with the hospital internal audit checklist, the RCM builder and the monitoring rules repository.

How it works

Hospital internal audit is strongest when clinical-operational evidence and finance evidence are in the same file. The workbook connects admissions, discharge, OT, lab, pharmacy, claims, collections, consultant payouts, assets and HIS access to RCM tests.

The Excel export gives auditors separate sheets for engagement scope, RCM rows, patient billing samples, TPA claims reconciliation, pharmacy and consumables, doctor payout testing, assets/compliance/ITGC and monitoring exceptions. Tailor it to facility type, state, payer mix and approved audit scope.

Worked example

A CA firm is reviewing a multi-speciality hospital with IPD, OPD, diagnostics, pharmacy and TPA/insurance claims.

Inputs
ScopeAdmissions, billing, claims, pharmacy, doctor payouts, assets and HIS controls
OutputExcel workbook plus PDF summary
Output
WorkbookRCM, patient billing sample, TPA recon, pharmacy testing, doctor payout testing and monitoring exceptions

Common mistakes

Testing only the general ledger
Hospital leakage often starts in OT, lab, pharmacy, discharge and claim systems before it becomes an accounting entry.
No payer-wise ageing
TPA, insurer and scheme receivables need separate ageing, denial reasons, short-settlement review and claim-to-receipt tie-out.
Ignoring consultant contracts
Doctor payout errors often come from contract interpretation, eligible revenue base, manual adjustments and tax treatment.

Frequently asked questions

What is a hospital audit workbook?+
It is a multi-sheet internal-audit working paper used to document hospital controls: patient billing, TPA claims, pharmacy and consumables, doctor payouts, biomedical assets, compliance, HIS access and monitoring exceptions.
Does this workbook replace hospital licensing checks?+
No. It is an audit workpaper starter. Licensing, accreditation and scheme requirements vary by state, establishment type and payer arrangement, so they must be verified separately for the entity.
Which hospital audit data should be requested first?+
Request patient bill registers, admission/discharge reports, OT register, lab/radiology orders, pharmacy issue and batch ledgers, TPA claim tracker, settlement advices, doctor contracts, payout workings, cash receipts, refund logs and HIS user lists.

Authoritative sources

ICAI
ICAI IASB - Compendium of Standards on Internal AuditUse SIA planning, evidence, documentation, reporting and follow-up principles when tailoring the workbook.
Clinical Establishments Act portalVerify whether the establishment is covered and what state-level requirements apply.
NABH standards and accreditation documentsFor accredited hospitals, map internal-audit checks to the current applicable accreditation requirements.
National Health AuthorityFor scheme claims, verify current payer and claim-process requirements.
Always confirm against the latest version of the source. Regulations evolve and amendments are common.
Related calculators
Hospital internal audit checklistInternal audit RCM builderMonitoring rules repository
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Last reviewed: 2026-08-29 · For informational purposes only — not professional advice.