Day 9
Reconciliation 9 / 14
E1
Trial balance
4 activities
15:25
E2/5
Correction of errors & Suspense Accounts
10 activities
31:23
E3
Control accounts and reconciliations
17 activities
40:38
E4
Bank reconciliations
7 activities
23:14
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Day 8. Preparing a trial balance
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Day 10. Preparing basic financial statements
Resit course