SOC 2 Compliance Preparation is a security claude skill built by Alireza Rezvani. Best for: SaaS and cloud companies preparing for SOC 2 Type I or Type II audits to meet enterprise customer requirements..

What it does
Prepare for SOC 2 audits by mapping Trust Service Criteria, building control matrices, collecting evidence, and assessing readiness.
Category
security
Created by
Alireza Rezvani
Last updated
Claude Skillsecurity GitHub-backed CuratedadvancedClaude Code

SOC 2 Compliance Preparation

Prepare for SOC 2 audits by mapping Trust Service Criteria, building control matrices, collecting evidence, and assessing readiness.

Skill instructions


name: "soc2-compliance" description: "Use when the user asks to prepare for SOC 2 audits, map Trust Service Criteria, build control matrices, collect audit evidence, perform gap analysis, or assess SOC 2 Type I vs Type II readiness."

SOC 2 Compliance

SOC 2 Type I and Type II compliance preparation for SaaS companies. Covers Trust Service Criteria mapping, control matrix generation, evidence collection, gap analysis, and audit readiness assessment.

Table of Contents


Overview

What Is SOC 2?

SOC 2 (System and Organization Controls 2) is an auditing framework developed by the AICPA that evaluates how a service organization manages customer data. It applies to any technology company that stores, processes, or transmits customer information — primarily SaaS, cloud infrastructure, and managed service providers.

Type I vs Type II

| Aspect | Type I | Type II | |--------|--------|---------| | Scope | Design of controls at a point in time | Design AND operating effectiveness over a period | | Duration | Snapshot (single date) | Observation window (3-12 months, typically 6) | | Evidence | Control descriptions, policies | Control descriptions + operating evidence (logs, tickets, screenshots) | | Cost | $20K-$50K (audit fees) | $30K-$100K+ (audit fees) | | Timeline | 1-2 months (audit phase) | 6-12 months (observation + audit) | | Best For | First-time compliance, rapid market need | Mature organizations, enterprise customers |

Who Needs SOC 2?

  • SaaS companies selling to enterprise customers
  • Cloud infrastructure providers handling customer workloads
  • Data processors managing PII, PHI, or financial data
  • Managed service providers with access to client systems
  • Any vendor whose customers require third-party assurance

Typical Journey

Gap Assessment → Remediation → Type I Audit → Observation Period → Type II Audit → Annual Renewal
    (4-8 wk)      (8-16 wk)     (4-6 wk)       (6-12 mo)          (4-6 wk)       (ongoing)

Trust Service Criteria

SOC 2 is organized around five Trust Service Criteria (TSC) categories. Security is required for every SOC 2 report; the remaining four are optional and selected based on business need.

Security (Common Criteria CC1-CC9) — Required

The foundation of every SOC 2 report. Maps to COSO 2013 principles.

| Criteria | Domain | Key Controls | |----------|--------|-------------| | CC1 | Control Environment | Integrity/ethics, board oversight, org structure, competence, accountability | | CC2 | Communication & Information | Internal/external communication, information quality | | CC3 | Risk Assessment | Risk identification, fraud risk, change impact analysis | | CC4 | Monitoring Activities | Ongoing monitoring, deficiency evaluation, corrective actions | | CC5 | Control Activities | Policies/procedures, technology controls, deployment through policies | | CC6 | Logical & Physical Access | Access provisioning, authentication, encryption, physical restrictions | | CC7 | System Operations | Vulnerability management, anomaly detection, incident response | | CC8 | Change Management | Change authorization, testing, approval, emergency changes | | CC9 | Risk Mitigation | Vendor/business partner risk management |

Availability (A1) — Optional

| Criteria | Focus | Key Controls | |----------|-------|-------------| | A1.1 | Capacity management | Infrastructure scaling, resource monitoring, capacity planning | | A1.2 | Recovery operations | Backup procedures, disaster recovery, BCP testing | | A1.3 | Recovery testing | DR drills, failover testing, RTO/RPO validation |

Select when: Customers depend on your uptime; you have SLAs; downtime causes direct business impact.

Confidentiality (C1) — Optional

| Criteria | Focus | Key Controls | |----------|-------|-------------| | C1.1 | Identification | Data classification policy, confidential data inventory | | C1.2 | Protection | Encryption at rest and in transit, DLP, access restrictions | | C1.3 | Disposal | Secure deletion procedures, media sanitization, retention enforcement |

Select when: You handle trade secrets, proprietary data, or contractually confidential information.

Processing Integrity (PI1) — Optional

| Criteria | Focus | Key Controls | |----------|-------|-------------| | PI1.1 | Accuracy | Input validation, processing checks, output verification | | PI1.2 | Completeness | Transaction monitoring, reconciliation, error handling | | PI1.3 | Timeliness | SLA monitoring, processing delay alerts, batch job monitoring | | PI1.4 | Authorization | Processing authorization controls, segregation of duties |

Select when: Data accuracy is critical (financial processing, healthcare records, analytics platforms).

Privacy (P1-P8) — Optional

| Criteria | Focus | Key Controls | |----------|-------|-------------| | P1 | Notice | Privacy policy, data collection notice, purpose limitation | | P2 | Choice & Consent | Opt-in/opt-out, consent management, preference tracking | | P3 | Collection | Minimal collection, lawful basis, purpose specification | | P4 | Use, Retention, Disposal | Purpose limitation, retention schedules, secure disposal | | P5 | Access | Data subject access requests, correction rights | | P6 | Disclosure & Notification | Third-party sharing, breach notification | | P7 | Quality | Data accuracy verification, correction mechanisms | | P8 | Monitoring & Enforcement | Privacy program monitoring, complaint handling |

Select when: You process PII and customers expect privacy assurance (complements GDPR compliance).


Control Matrix Generation

A control matrix maps each TSC criterion to specific controls, owners, evidence, and testing procedures.

Matrix Structure

| Field | Description | |-------|-------------| | Control ID | Unique identifier (e.g., SEC-001, AVL-003) | | TSC Mapping | Which criteria the control addresses (e.g., CC6.1, A1.2) | | Control Description | What the control does | | Control Type | Preventive, Detective, or Corrective | | Owner | Responsible person/team | | Frequency | Continuous, Daily, Weekly, Monthly, Quarterly, Annual | | Evidence Type | Screenshot, Log, Policy, Config, Ticket | | Testing Procedure | How the auditor verifies the control |

Control Naming Convention

{CATEGORY}-{NUMBER}
SEC-001 through SEC-NNN  → Security
AVL-001 through AVL-NNN  → Availability
CON-001 through CON-NNN  → Confidentiality
PRI-001 through PRI-NNN  → Processing Integrity
PRV-001 through PRV-NNN  → Privacy

Workflow

  1. Select applicable TSC categories based on business needs
  2. Run control_matrix_builder.py to generate the baseline matrix
  3. Customize controls to match your actual environment
  4. Assign owners and evidence requirements
  5. Validate coverage — every selected TSC criterion must have at least one control

Gap Analysis Workflow

Phase 1: Current State Assessment

  1. Document existing controls — inventory all security policies, procedures, and technical controls
  2. Map to TSC — align existing controls to Trust Service Criteria
  3. Collect evidence samples — gather proof that controls exist and operate
  4. Interview control owners — verify understanding and execution

Phase 2: Gap Identification

Run gap_analyzer.py against your current controls to identify:

  • Missing controls — TSC criteria with no corresponding control
  • Partially implemented — Control exists but lacks evidence or consistency
  • Design gaps — Control designed but does not adequately address the criteria
  • Operating gaps (Type II only) — Control designed correctly but not operating effectively

Phase 3: Remediation Planning

For each gap, define:

| Field | Description | |-------|-------------| | Gap ID | Reference identifier | | TSC Criteria | Affected criteria | | Gap Description | What is missing or insufficient | | Remediation Action | Specific steps to close the gap | | Owner | Person responsible for remediation | | Priority | Critical / High / Medium / Low | | Target Date | Completion deadline | | Dependencies | Other gaps or projects that must complete first |

Phase 4: Timeline Planning

| Priority | Target Remediation | |----------|--------------------| | Critical | 2-4 weeks | | High | 4-8 weeks | | Medium | 8-12 weeks | | Low | 12-16 weeks |


Evidence Collection

Evidence Types by Control Category

| Control Area | Primary Evidence | Secondary Evidence | |--------------|-----------------|-------------------| | Access Management | User access reviews, provisioning tickets | Role matrix, access logs | | Change Management | Change tickets, approval records | Deployment logs, test results | | Incident Response | Incident tickets, postmortems | Runbooks, escalation records | | Vulnerability Management | Scan reports, patch records | Remediation timelines | | Encryption | Configuration screenshots, certificate inventory | Key rotation logs | | Backup & Recovery | Backup logs, DR test results | Recovery time measurements | | Monitoring | Alert configurations, dashboard screenshots | On-call schedules, escalation records | | Policy Management | Signed policies, version history | Training completion records | | Vendor Management | Vendor assessments, SOC 2 reports | Contract reviews, risk registers |

Automation Opportunities

| Area | Automation Approach | |------|-------------------| | Access reviews | Integrate IAM with ticketing (automatic quarterly review triggers) | | Configuration evidence | Infrastructure-as-code snapshots, compliance-as-code tools | | Vulnerability scans | Scheduled scanning with auto-generated reports | | Change management | Git-based audit trail (commits, PRs, approvals) | | Uptime monitoring | Automated SLA dashboards with historical data | | Backup verification | Automated restore tests with success/failure logging |

Continuous Monitoring

Move from point-in-time evidence collection to continuous compliance:

  1. Automated evidence gathering — scripts that pull evidence on schedule
  2. Control dashboards — real-time visibility into control status
  3. Alert-based monitoring — notify when a control drifts out of compliance
  4. Evidence repository — centralized, timestamped evidence storage

Audit Readiness Checklist

Pre-Audit Preparation (4-6 Weeks Before)

  • [ ] All controls documented with descriptions, owners, and frequencies
  • [ ] Evidence collected for the entire observation period (Type II)
  • [ ] Control matrix reviewed and gaps remediated
  • [ ] Policies signed and distributed within the last 12 months
  • [ ] Access reviews completed within the required frequency
  • [ ] Vulnerability scans current (no critical/high unpatched > SLA)
  • [ ] Incident response plan tested within the last 12 months
  • [ ] Vendor risk assessments current for all subservice organizations
  • [ ] DR/BCP tested and documented within the last 12 months
  • [ ] Employee security training completed for all staff

Readiness Scoring

| Score | Rating | Meaning | |-------|--------|---------| | 90-100% | Audit Ready | Proceed with confidence | | 75-89% | Minor Gaps | Address before scheduling audit | | 50-74% | Significant Gaps | Remediation required | | < 50% | Not Ready | Major program build-out needed |

Common Audit Findings

| Finding | Root Cause | Prevention | |---------|-----------|-----------| | Incomplete access reviews | Manual process, no reminders | Automate quarterly review triggers | | Missing change approvals | Emergency changes bypass process | Define emergency change procedure with post-hoc approval | | Stale vulnerability scans | Scanner misconfigured | Automated weekly scans with alerting | | Policy not acknowledged | No tracking mechanism | Annual e-signature workflow | | Missing vendor assessments | No vendor inventory | Maintain vendor register with review schedule |


Vendor Management

Third-Party Risk Assessment

Every vendor that accesses, stores, or processes customer data must be assessed:

  1. Vendor inventory — maintain a register of all service providers
  2. Risk classification — categorize vendors by data access level
  3. Due diligence — collect SOC 2 reports, security questionnaires, certifications
  4. Contractual protections — ensure DPAs, security requirements, breach notification clauses
  5. Ongoing monitoring — annual reassessment, continuous news monitoring

Vendor Risk Tiers

| Tier | Data Access | Assessment Frequency | Requirements | |------|-------------|---------------------|-------------| | Critical | Processes/stores customer data | Annual + continuous monitoring | SOC 2 Type II, penetration test, security review | | High | Accesses customer environment | Annual | SOC 2 Type II or equivalent, questionnaire | | Medium | Indirect access, support tools | Annual questionnaire | Security certifications, questionnaire | | Low | No data access | Biennial questionnaire | Basic security questionnaire |

Subservice Organizations

When your SOC 2 report relies on controls at a subservice organization (e.g., AWS, GCP, Azure):

  • Inclusive method — your report covers the subservice org's controls (requires their cooperation)
  • Carve-out method — your report excludes their controls but references their SOC 2 report
  • Most companies use carve-out and include complementary user entity controls (CUECs)

Continuous Compliance

From Point-in-Time to Continuous

| Aspect | Point-in-Time | Continuous | |--------|---------------|-----------| | Evidence collection | Manual, before audit | Automated, ongoing | | Control monitoring | Periodic review | Real-time dashboards | | Drift detection | Found during audit | Alert-based, immediate | | Remediation | Reactive | Proactive | | Audit preparation | 4-8 week scramble | Always ready |

Implementation Steps

  1. Automate evidence gathering — cron jobs, API integrations, IaC snapshots
  2. Build control dashboards — aggregate control status into a single view
  3. Configure drift alerts — notify when controls fall out of compliance
  4. Establish review cadence — weekly control owner check-ins, monthly steering
  5. Maintain evidence repository — centralized, timestamped, auditor-accessible

Annual Re-Assessment Cycle

| Quarter | Activities | |---------|-----------| | Q1 | Annual risk assessment, policy refresh, vendor reassessment launch | | Q2 | Internal control testing, remediation of findings | | Q3 | Pre-audit readiness review, evidence completeness check | | Q4 | External audit, management assertion, report distribution |


Anti-Patterns

| Anti-Pattern | Why It Fails | Better Approach | |--------------|-------------|----------------| | Point-in-time compliance | Controls degrade between audits; gaps found during audit | Implement continuous monitoring and automated evidence | | Manual evidence collection | Time-consuming, inconsistent, error-prone | Automate with scripts, IaC, and compliance platforms | | Missing vendor assessments | Auditors flag incomplete vendor due diligence | Maintain vendor register with risk-tiered assessment schedule | | Copy-paste policies | Generic policies don't match actual operations | Tailor policies to your actual environment and technology stack | | Security theater | Controls exist on paper but aren't followed | Verify operating effectiveness; build controls into workflows | | Skipping Type I | Jumping to Type II without foundational readiness | Start with Type I to validate control design before observation | | Over-scoping TSC | Including all 5 categories when only Security is needed | Select categories based on actual customer/business requirements | | Treating audit as a project | Compliance degrades after the report is issued | Build compliance into daily operations and engineering culture |


Tools

Control Matrix Builder

Generates a SOC 2 control matrix from selected TSC categories.

# Generate full security matrix in markdown
python scripts/control_matrix_builder.py --categories security --format md

# Generate matrix for multiple categories as JSON
python scripts/control_matrix_builder.py --categories security,availability,confidentiality --format json

# All categories, CSV output
python scripts/control_matrix_builder.py --categories security,availability,confidentiality,processing-integrity,privacy --format csv

Evidence Tracker

Tracks evidence collection status per control.

# Check evidence status from a control matrix
python scripts/evidence_tracker.py --matrix controls.json --status

# JSON output for integration
python scripts/evidence_tracker.py --matrix controls.json --status --json

Gap Analyzer

Analyzes current controls against SOC 2 requirements and identifies gaps.

# Type I gap analysis
python scripts/gap_analyzer.py --controls current_controls.json --type type1

# Type II gap analysis (includes operating effectiveness)
python scripts/gap_analyzer.py --controls current_controls.json --type type2 --json

References


Cross-References

  • gdpr-dsgvo-expert — SOC 2 Privacy criteria overlaps significantly with GDPR requirements; use together when processing EU personal data
  • information-security-manager-iso27001 — ISO 27001 Annex A controls map closely to SOC 2 Security criteria; organizations pursuing both can share evidence
  • isms-audit-expert — Audit methodology and finding management patterns transfer directly to SOC 2 audit preparation

Use this skill

Most skills are portable instruction packages. Claude Code supports SKILL.md directly. Other agents can use adapted files like AGENTS.md, .cursorrules, and GEMINI.md.

Claude Code

Save SKILL.md into your Claude Skills folder, then restart Claude Code.

mkdir -p ~/.claude/skills/soc-2-compliance-preparation && curl -L "https://raw.githubusercontent.com/alirezarezvani/claude-skills/HEAD/ra-qm-team/soc2-compliance/SKILL.md" -o ~/.claude/skills/soc-2-compliance-preparation/SKILL.md

Installs to ~/.claude/skills/soc-2-compliance-preparation/SKILL.md.

Use cases

SaaS and cloud companies preparing for SOC 2 Type I or Type II audits to meet enterprise customer requirements.

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Stats

Installs0
GitHub Stars11.8k
Forks1546
LicenseMIT
UpdatedMar 27, 2026