In this course, you will learn how to post journal entries to the correct general ledger accounts impacted by each transaction. This course will show you how to make sure your general ledger balances at the end of each month by preparing an unadjusted trial balance. You will learn how to look for errors when you do not balance, and how to determine to correct entries. After posting correcting entries and/or adjusting entries, you will verify debits and credits equal with an adjusted trial balance. This course also goes through the steps of performing monthly bank reconciliations.

plate with fork and knife, books, microscope and test tubes
Sponsor(s)
Continuing & Professional Education
Audience
Community Adults, VCU Alumni, VCU Faculty, VCU Staff, VCU Students