Payroll Preparation
Accounting Notes Acc 101 m
MB0041
Bank Reconciliation
3. Subdivision of Journals
BSBADM309A Process accounts payable and receivable Prepared by Melanie Lynch Training Consultant.
A sample problem. The cash in bank account for J. B. Lindsay Co. at May 31 of the current year indicated a balance of $14,691.80 after both the cash receipts.
Accounting Information Systems Chapter 6 HORNGREN ♦ HARRISON ♦ BAMBER ♦ BEST ♦ FRASER ♦ WILLETT.
CENTURY 21 ACCOUNTING © Thomson/South-Western LESSON 11-4 Posting Special Journal Totals to a General Ledger.
Summary so far…….. SPECIAL JOURNALS Special journals classify and summarise data from source documents. The use of special journals allows.
Independant works