Reconciliation Assessment
$27.37
Reconciliation Assessment
$27.37
Skills Assessment
Total Questions | 37 |
Question Types | Multiple Choice |
Competencies Tested | Bank Cash Journal Entries Depreciation Payroll Financial Statements Accounts Payable/Accounts Receivable Inventory |
Tasks Tested | Bank Reconciliations Journal Entries Monthly Statements Reconciling Monthly Deposits Correcting an Improper Cash Entry Petty Cash Fund Reporting Cash Flows Type of Journal Making a Depreciation Entry Ending Accounting Period Entries Debit Creating a Journal Entry Credit Making an Adjusting Entry Allocation of Materials Employer's Responsibilities Matching Your Gross Wages Effects of Errors Knowing When to Reconcile Unequal Debits/Credits Sales Over Costs Accounting Method Find the Excess of Revenue Determining Closed Accounts Balance Sheet Type of Statement Accrual Accounting Determining the Book Value Expenditure Trial Balance Report Type of Account Income Statements Accounts Payable Accounts Receivable Posting a Payment Aging Report |