Bank Reconciliation and Petty Cash
Posted by VoluntaryActionSheffield
A practical beginners’ introduction which will show you how to use Microsoft Excel to: Ensure your accounting records are in agreement with your bank’s records Detect any errors you or the bank have made when recording your financial transactions Run an efficient well controlled petty cash system
| When | 09 Feb 2010 from 09:30 am to 12:30 pm |
|---|---|
| Where | Sheffield city centre venue |
| About | budgets and finance, money, training, budgets, finance |
| Type | conference |
| Who |
- see above |
This course is designed to run on from the Microsoft Excel Book-keeping course, to maximise the benefit of using Microsoft Excel for financial record keeping.
The session will be repeated on 22 June 2010.
For more details contact Carron Charlesworth tel 0114536623 or at training@vas.org.uk
More details are available at the event website
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