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Description
Prepare & Process Financial Transactions & Extract Interim ReportsINTRODUCTION: Welcome to the Prepare & Process Financial Transactions & Extract Interim Reports course. This course only includes a challenge assessment designed to assess your knowledge and skills required to demonstrate competence in verifying, checking, recording, reconciling, processing, correcting, filing and reporting financial transactions and interim financial information according to job requirements, organisational policies, procedures,
INTRODUCTION:
Welcome to the Prepare & Process Financial Transactions & Extract Interim Reports course. This course only includes a challenge assessment designed to assess your knowledge and skills required to demonstrate competence in verifying, checking, recording, reconciling, processing, correcting, filing and reporting financial transactions and interim financial information according to job requirements, organisational policies, procedures, timeframes, approval requirements and recordkeeping formats.
Preparing and processing financial transactions and extracting interim reports involves examining supporting financial documentation, confirming deposits and withdrawals, reconciling banking information, processing petty cash, preparing invoices, checking source documents, preparing journal entries, reviewing ledger accounts, processing special transactions and completing balance day adjustments. This work is important because accurate transaction processing and interim reporting help ensure financial records are complete, errors are corrected, banking and petty cash information is reconciled, invoices and journals are processed within required structures, and trial balances and interim reports are checked, finalised and filed for approval.
The course assessment focuses on your ability to verify supporting documentation according to job requirements, policies and procedures; identify, check and record financial document information; examine documentation for accuracy and completeness; confirm deposits and withdrawals; reconcile banking records; check, process and record petty cash claims, vouchers and balances; prepare payable and received invoices; check invoices against source documents and correct errors; confirm storage methods and file documents; prepare and process journal entries within required timeframes and structures; prepare special journal entries for capital contributions, bad debts, discounts and error correction; review ledger transactions and correct errors; prepare bank deposits with security measures and proof of deposit; process special transactions and balance day adjustments; and extract, check, finalise and file trial balances and interim reports for accuracy, completeness and approval.
By successfully completing this course assessment, you will have demonstrated that you can prepare and process financial transactions and extract interim reports by verifying and recording financial documentation, reconciling banking and petty cash records, preparing invoices and journal entries, correcting errors, processing special transactions and adjustments, preparing secure bank deposits, reviewing ledger information and finalising trial balances and interim reports in line with organisational requirements.
TOPICS COVERED IN THIS ASSESSMENT:
This course assessment is based on the following topics:
1. Verifying supporting financial documentation according to job requirements, organisational policies and procedures.
2. Identifying, checking and recording information from financial documents.
3. Examining supporting documentation to confirm accuracy and completeness.
4. Confirming deposits and withdrawals according to organisational procedures.
5. Reconciling banking documentation against organisational financial records.
6. Checking, processing and recording petty cash claims, vouchers and petty cash balances.
7. Preparing payable and received invoices according to organisational policies and procedures.
8. Checking invoices against source documents and correcting identified errors.
9. Confirming storage methods and filing invoices and related documents in required formats.
10. Preparing and processing journal entries within organisational timeframes and structures.
11. Preparing special journal entries for capital contributions, bad debts, discounts and correction of errors.
12. Reviewing ledger account transactions for accuracy and correcting identified errors.
13. Preparing bank deposits by selecting deposit files, applying security measures and obtaining proof of deposit.
14. Processing special transactions and completing balance day adjustments in journals and the general ledger.
15. Extracting, checking, finalising and filing trial balances and interim reports for accuracy, completeness and approval.
ABOUT THIS ASSESSMENT-ONLY COURSE:
This Assessment-Only course is designed for experienced professionals who already have a solid understanding of this subject area and simply wish to verify and document their existing knowledge. Instead of working through learning resources, you will go straight to a quiz that assesses your current competency in this field.
ASSESSMENT FORMAT & SUBMISSION ATTEMPTS:
This course assessment consists of a 20-question multiple-choice & true-or-false quiz with unlimited submission attempts during your enrolment period.
ESTIMATED COMPLETION TIME & VALIDITY:
The typical time to complete this assessment is approximately 10-15 minutes. Your enrolment is Valid for 12 Months from the date of purchase.
CERTIFICATION:
Upon successful completion of this course assessment, you will receive a customised digital “Certificate of Completion”.
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Exchange/Return Notes
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