
Learn to prepare bank reconciliations professionally step by step for accountants and students
Service overview
During this service, you will learn how to detect accounting differences, handle errors, and prepare a bank reconciliation note in a practical way using real-life examples and practical exercises suitable for students and junior accountants.
The explanation is done in a clear and organized manner that helps you master:
• The concept of bank reconciliations
• Reasons for the appearance of differences
• Processing of pending cheques and deposits under collection
• Detection of accounting errors
• Preparation of the bank settlement memorandum step by step
• Recording accounting reconciliation entries
Service Features
• Simplified and easy-to-understand explanation
• Real-life practical examples
• Full Practical Training
• Suitable for students and beginners
• Ability to answer questions and inquiries
• Structured professional explanation from start to finish
What will the student receive?
• Detailed explanation of bank settlements
• Practical files and exercises
• Fully resolved examples
• Summary that helps with quick review
Target Audience
• Accounting students
• New Accountants
• Corporate Interns
• Anyone who wants to strengthen their accounting skills
Explanation method
ONE-HOUR LECTURE USING ZOOM
