Accounting Transactions for Shelgeds Accounting Services

Portée du projet
Catégories
ComptabilitéCompétences
trial balance accounting software reconciliation debits and credits accountingThe main goal for the project is to post accounting transactions for Shelgeds Accounting Services in order to prepare a trial balance. This will involve several different steps for the learners, including:
- Reviewing and analyzing the company's financial transactions.
- Recording the financial transactions in the appropriate accounts using accounting software.
- Reconciling the accounts to ensure accuracy.
- Preparing a trial balance to ensure that the total debits equal the total credits.
By the end of the project, learners should complete the following tasks:
- Review and analysis of the company's financial transactions.
- Recording of financial transactions in the appropriate accounts.
- Reconciliation of accounts to ensure accuracy.
- Preparation of a trial balance.
Final deliverables should include:
- A complete set of accurately recorded accounting transactions.
- A trial balance report demonstrating the accuracy of the recorded transactions.
Mentorship to the respondent by providing step by step guidance on what to do.
Providing the necessary access to required software and information to get the task done.
À propos de l'entreprise
A bookkeeping and advisory business that offers the following services:
Accounting
Bookkeeping
Payroll
GST/HST Returns
Business Advisory
Personal/Corporate Income Tax
Portails

