TAXDOCS
WORKPAPER
TRACK
PRIVATE EQUITY
SIGHTLINE
100

The folder where all files coming from the client appear

What is "Shared Documents"?

100

The various tabs that we use to mimic the actual tax forms and where information will go

What are visualization tabs?

100

A special allocation that follows dollar amounts rather than percentages

What is a proportional allocation?

100

Investors who are sensitive to ECI

What are Foreign partners?

100

The area where we track an entity's k-1s, returns and misc forms

What is Deliverables?

200

The file path where you can find the PwC workpaper starting point

What is All Funds General > Templates and Methodologies

200

The tabs that come directly from TRACK

What are batch reports?

200

A vessel in TRACK used to allocate income/losses "up the chain." This can be a partner in a fund, but not classified as an "investor" in TRACK.

What is a flow-through entity?

200

Investors who are sensitive to UBTI

What are tax-exempt partners?

200

The selection preparers must update as the entity gets passed "up the chain"

What is Working Status?

300

Feature of TaxDocs that copies files in various places to your fund folder where you need the support

What is linking?

300

The tab where we note any updates we made to the client tabs

What is the summary of changes tab?

300

Data entry locations with multiple required steps, used to present income/losses from the workpaper onto the K-1 and K-3.

What are allocable items?

300

This type of FTE, typically assumes liability for the partnership and is responsible for the management of the entity.

What is a general partner?

300

The first step preparers need to take to add team members to an entity

What is Add Assignees?

400

Feature of TaxDocs that allows multiple users edit a file at once. Must be used wisely to control versions

What is Collaboration mode?

400

The tab where we take book income and reconcile to taxable income on a more detailed level

What is the M3 tab?

400

You would use this tool when you have income/losses flowing from a lower level that you need to tag to an allocation code at your level.

What is advanced tiering?

400

This type of FTE has been historically used in TA structures to make a portfolio investment in lieu of the main fund.

What is an AIV?

400

The step preparers need to take to dictate the timing of an entity

What is add Planned Due Date?

500

The naming convention for Financial Statements

What is FS1?

500

The tab where the client presents their balance sheet and tax capital reconciliation

What is the T20 tab?

500

This specific disclosure item requires three steps in an allocable item - investment tag, "SALT" tag, and a footnote section checkbox with the amount filled out.

What is passive activity?

500

This is a common allocation code that is based on how much a limited partner invests into the fund.

What is commitment?

500

The place where we track misc forms and processes

What is Tasks?