HANDLING FULL SET OF ACCOUNTS
السعر: 2,290 MYR
  • الموقع: Kuala Lumpur
  • مدة الدورة التدريبية: 2 Days

    تفاصيل الدورة

    MODULE 1: UNDERSTANDING ACCOUNTING TERMS
    How is financial accounting different from management accounting? Which do you need to know?
    Accounting terms, concepts, double entry rule and accounting cycle
     
    MODULE 2: RECORDING AND ANALYSING BUSINESS TRANSACTIONS
    Understanding Main Books of Accounting System for any type of Business Operations
    Journal, Ledger and Source Documents
    Ensuring Relevant Supporting Documents for Accounting Transactions
    Books of Original Entries – Types of Journals and Cash Book
    Ledger System – General Ledgers, Subsidiary Ledgers – Posting into Ledgers
    Proper Classification of Expenses to Avoid problems with Tax Authorities
     
    MODULE 3: FIXED ASSETS ACCOUNTING
    Differentiate between Revenue Expenditure and Capital Expenditure
    Making entries for Depreciation and Amortization
    Disposal of Fixed Assets
     
    MODULE 4: ACCOUNTS RECEIVABLE (AR) & ACCOUNTS PAYABLE (AP)
    Understanding How AR & AP Work & Relate to General Ledger
    Performing AR, AP Reconciliation
     
    MODULE 5: INVENTORY ACCOUNTING AND METHODS OF VALUATION
    How Inventory Works & Interaction with General Ledger
    Different Valuation Methods of Inventory: FIFO, LIFO & Weighted Average
    Advantages & Disadvantages of Each Method of Valuation
     
    MODULE 6: SHARE CAPITAL, SHARE PREMIUM & OTHER SOURCES OF FUNDING & REFLECTION IN BOOKS
    Share Capitals and Accounting Entries
    Share Premium Accounting
     
    MODULE 7: UNDERSTANDING THE CASH BOOK
    Understanding the layout of Cash book
    Posting Cash Book Transactions into Ledgers
    Petty Cash Book Compared with Main Cash Book
    Preparing Bank Reconciliation Statements
     
    MODULE 8: PREPARATION OF FINAL ACCOUNTS
    Balancing Accounts and preparing Trial Balance to ensure accuracy of double entry system
    Detectable / Non Detectable Errors
    Trading Accounts / Profit & Loss Accounts / The Financial Position
    Final Accounts with Adjustment
    The closures of books and transfer of balances to next financial year
    Dealing with Bad / Doubtful Debts / Provisions, etc
     
    MODULE 9: COMPUTERIZED/AUTOMATED ACCOUNTING
    Working in a Computerized Accounting Environment
    Difference between Manual and Computerized Accounting
    Real Time vs Batch Processing
     
    MODULE 10: SST ENVIRONMENT
    Transition to SST  تحديث بتاريخ 11 May, 2020

    وظائف مناسبة لهذه الدورة

    Share Point Admin , Database Admin-Lead , Senior Logistic Coordinator
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