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Time
10:00am - 1:00pm
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End Date
16 Nov, 2020 - 18 Nov, 2020
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Price
₦175,000
Event Details
This workshop is designed to provide participants comprehensive knowledge needed to ensure that all financial transactions are correct, allowable and applied to the appropriate accounts.
Content:
Reconcile Bank Accounts
· Bank statements
· Cash balance
Customer Statements
· Accounts payable
· Accounts receivable
Company’s Assets
· Stock valuation and accounting
· Asset depreciation
· Sales
Financial Transactions
· Payroll charges
· Journal vouchers
· Vendors invoices
· Purchasing orders
Reconciliation Techniques
· Preparing required documentation
· Completing the analysis
· Retaining documentation
FOR WHOM:
Accountants, Auditors, Reconciliation Managers and staff, Financial Managers and other officers who perform related functions in Public and Private Sectors.
TRAINING METHODOLOGY
The training methodology combines lectures, discussions and illustrations. Participants will gain both theoretical and practical knowledge of the topics. The emphasis is on the practical application of the topics and as a result participant will go back to the workplace with both the ability and the confidence to apply the techniques learned to their duties.
Note:
Payment should be made and confirmed at least 3 days before the commencement date of the course.
Date:
1ST BATCH: 31st Aug– 2nd September, 2020
2ND BATCH: 16th – 18th November, 2020
Other Dates
Start Date | End Date |
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31 Aug, 2020 | 02 Sep, 2020 |
Start Date | End Date |
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16 Nov, 2020 | 18 Nov, 2020 |
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