課程資料
課程簡介
Keep a track of Your Bank Balance through a Bank Reconciliation Statment and Develop your own Template
Bank Reconciliation is an important topic for the Accounting students, employees who are engaged in bank transactions as well as business owners. It is useful not only as a study material but in a practical way also. Because in a company it is necessary to have a same cash balance in the company’s own books as well as in the bank.
So here the course will simply explain what is the meaning of a bank reconciliation and importance of it. Further it will make students identify the reasons for the mismatch of cash balance and will guide to prepare the Bank reconciliation Statement .
The course will not end up only by teaching the Bank Reconciliation Statement. After explaining to prepare the bank reconciliation statement step by step, course will guide students to prepare a template for Bank Reconciliation Statement using Excel. It will enhance the knowledge of preparing Bank Reconciliation as it will give the students a chance to go through the process step by step once again. And also it will be useful for the practical use in preparing Bank Reconciliation Statement.
So You are warmly welcome to enroll and gain knowledge about Bank Reconciliation statement and in the process you can develop your own Template.
課程章節
- 1 個章節
- 12 堂課
- 第 1 章 Introduction
課程內容
- Understanding what is a bank reconciliation
- learn how to reconcile the cash balances of a company's cash book and cash balance of that company's bank account
- Develop a template for Bank Reconciliation Statement using Excel
此課程所涵蓋的技能
評價
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NNikita Panwar
Nice presentation ,
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IIoan Florin Marian
very well explained!!
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AAnang Nur Prasetya
It’s okay, good class
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JJeremy Germa
Learned a lot during this course, also reminded me of some notions I learned some years ago at university. Good experience