BR7100 - UAS BANK RECONCILIATION
TRAINING COURSE
This class covers the entire Bank Reconciliation process from initial setup of the BR module through the entire process of reconciling a bank statement. Learn how transactions from other UAS modules integrate with the BR module and how to troubleshoot out of balances.
This class will teach you:
- How to properly set up your Bank Reconciliation module
- Avoiding common mistakes in set up
- The purpose of the BR module as it relates to your General Ledger
- How to process your monthly bank reconciliation
- Tips on what to do when you can’t reconcile – Tricks of the trade for identifying your discrepancy
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| Course
Duration |
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| 90
min |
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| Session
Date & Time |
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January 27 -
3:30 p.m. (EST)
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| Registration
End Date |
 |
|
January 18, 2011 |
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| Seats
Left |
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| 13 |
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| Course
Fee |
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| $150 |
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