This comprehensive training
course
covers:
1) Practical Accounting
- Sorting and Filling the account documents
- Issue of payment vouchers and/or other Receipts
2) Computerised Accounting:
- The setup of a new company
- Creating all types of ledger accounts
- Maintaining Opening balances
- Performing accounting transactions and journals within the Accounting
software & Billing product
- The transactions of purchase entries, sales entries, receipts entries and
miscellaneous charges
- Customer/Supplier files maintenance
- Bank Reconciliation
- Generating financial reports
covers:
1) Practical Accounting
- Sorting and Filling the account documents
- Issue of payment vouchers and/or other Receipts
2) Computerised Accounting:
- The setup of a new company
- Creating all types of ledger accounts
- Maintaining Opening balances
- Performing accounting transactions and journals within the Accounting
software & Billing product
- The transactions of purchase entries, sales entries, receipts entries and
miscellaneous charges
- Customer/Supplier files maintenance
- Bank Reconciliation
- Generating financial reports