К содержимому
learnspaceYOUR NEXT CHAPTER
ПРОСТРАНСТВО ОБУЧЕНИЯ
ГлавнаяКаталог курсовМоё обучениеCoursera

Знания без границ

Учитесь у лучших университетов и компаний мира.

Открыть Coursera
Интеграция
Пространство университета
Моё пространствоСтраница курса
↵
ЯЛичный кабинетСтудент
© 2026 LearnSpaceКаждый день — возможность узнать больше.Помощь
Reconcile Accounts: Bank Statements · LearnSpace
Назад в каталог
courseraБизнес

Reconcile Accounts: Bank Statements

Курс от Coursera
Начальный≈ 1.8 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Bank reconciliation errors cost businesses an average of 5% of their gross revenue annually through fraud and financial misstatements. This Short Course was created to help accounting professionals accomplish accurate cash management and fraud prevention through systematic reconciliation procedures. By completing this course, you'll be able to identify the most common discrepancies between company cash records and bank statements, apply step-by-step reconciliation procedures in QuickBooks, and prepare professional reconciliation reports that ensure cash balances are accurately stated for decision-making. By the end of this course, you will be able to: Identify typical reconciling items for bank reconciliation. Apply bank reconciliation procedures to align general ledger records with bank statements. This course is unique because it combines foundational reconciliation knowledge with hands-on QuickBooks practice, preparing you to handle real-world reconciliation scenarios from day one. To be successful in this course, you should have a background in basic accounting principles and familiarity with general ledger concepts.

Навыки, которые вы освоите

ReconciliationAccounting RecordsGeneral LedgerLedgers (Accounting)Financial ReportingCash FlowsAccounting

Программа курса

2 модулей · 14 учебных материалов

01Module 1: Identify Typical Reconciling Items6 материалов
Bank Reconciliation Accuracy Matters for Your CareerВидеоUnderstanding Reconciling Items: Types and CharacteristicsЧтениеCategorizing Reconciling Items: Book vs Bank AdjustmentsВидеоCommon Reconciling Items in Professional PracticeВидео

Учитесь у экспертов

Professionals in the Industry

Преподаватель курса

Reconcile Accounts: Bank Statements
В каталоге вашей программы

Инвестируйте в себя

Новые знания — в удобное для вас время.

Начать на Coursera

Обучение откроется на Coursera
в новой вкладке

Обучение на Coursera

≈ 1.8 ч

2 модулей

Язык: Английский

Субтитры: Дари, Пушту

Часть программы вашего университета
Practice Identifying Reconciling ItemsDIALOGUE
Reconciling Items Knowledge CheckЗадание
02Module 2: Apply Bank Reconciliation Procedures8 материалов
The Critical Role of Reconciliation Procedures in Cash ManagementВидеоSystematic Bank Reconciliation Framework and Best PracticesЧтениеQuickBooks Bank Reconciliation Step-by-Step ProcedureВидеоAdvanced Reconciliation Techniques and Problem ResolutionВидеоBank Reconciliation Problem-Solving SessionDIALOGUEComplete Monthly Bank Reconciliation in QuickBooksВидеоBank Reconciliation Procedures Knowledge CheckЗаданиеProfessional Bank Reconciliation Competency AssessmentЗадание