Bank Reconciliation explores the accounting cycle and the processes required to manage cash receipts, cash disbursements and other transactions that affect checkbook balances. We will also explore how to use reports, inquiries and SmartList to expand inquiry and analysis capabilities, business alerts, process server and tips for the user to personalize shortcuts and checklists to streamline business practices.
Please note – in order to ensure trainer availability, registration for this course will be closed on October 11, 2017, two weeks prior to the course date.
This half day course costs $295 and runs from 8am-12pm. After registering to the course, Turnkey Technologies will send you an invoice that is due upon receipt. Cancellations must be made 5 business days in advance of the course to receive a full refund.