Fai Syllabus
Fai Syllabus
SUMMARISING,AND POSTING TRANSACTION COMPLETING LEDGER ACCCOUNTS AND FINANCAIL STATEMENT 3 lecture 25/12/13
RECORDING AND ACCOUNTING FOR CASH TRANSACTION RECEIVING AND CHECKING MONEY BANKING MONIES RECEIVED RECORDING MONIES RECEIVED AUTHORISING AND MAKING PAYMENTS RECORDINMG PAYMENTS MAINTAINING PETTY CASH RECORDS BANK RECONCILITION
RECORDING AND ACCOUNTING FOR CREDIT TRANSACTION SALE AND SALE RETURN DAY BOOK THE RECEIVABLES LEDGER PURCHASE AND PURCHASE RETURN DAY BOOK THE PAYABLE LEDGER CONTROL ACCOUNTS PAYROLL RECORDING PAYROLL TRANSACTION