0435 796 137
Flexible Accounting Services
Month End Accounts Comprehensive
- Create new Company Profile and Data Recovery/Backups
- Chart of Accounts with Opening Balances
- New Suppliers and Customers and Inventory Items
- Enter Sales and Purchases Transactions
- Prepare Bank Deposits and Reconciliations
- Journal Entries and Accruals
- Review and Analyse Profit&Loss/Balance Sheet Reports
This training seminar covers starting from entering simple sales/purchases transactions to Reconciliation process with an aim to prepare financial reports for an entity.
For Contact Purposes Only
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