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Course Description

Learn how to post journal entries to the correct general ledger accounts impacted by each transaction. Ensure that your general ledger balances at the end of each month, by preparing an unadjusted trial balance. Learn how to look for errors when the figures don’t balance, and how to determine correcting entries. After posting correcting entries and/or adjusting entries, verify debits and credits equal with an adjusted trial balance. This course also teaches the steps of performing monthly bank reconciliations. Course Two in the certificate program.
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Thank you for your interest in this course. Unfortunately, the course you have selected is currently not open for enrollment. Please complete a Course Inquiry so that we may promptly notify you when enrollment opens. To inquire about registering for this program please contact the Non-Credit Registration Office at 814-867-4973 or  nc_reg_office@outreach.psu.edu

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