Date: Wednesday, June 20, 2018
Time: 3:00PM - 4:00PM
Location: InternetRegister for This Class.
This class covers how to reconcile General Ledger cash accounts with the corresponding bank statements. Participants will learn how to clear Checks/Vouchers, Deposits, and Other Cash Items. They will discover when to create, and how to clear, Suspense Items. The information on the Summary page will be explored. The session concludes with a discussion of summary, detail, default, and customized reports.
ABS Clients $100
Non- ABS clients- $135
The deadline for registering for this class is June 6 so that we have time to order and ship the manual.
Course Level: Basic
Prerequisites: Basic MIP Experience
Presentation Method: Group Internet Based
Recommended CPE Credits: 1
For more information regarding refund, complaint and program cancellation policies, please contact our offices at 1-800-451-7447
Applied Business Services, Inc. is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org
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