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Responsible Priscilla B Smith
Last Update 16/11/2024
Completion Time 9 hours
Members 14
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    • Session 2: INCOME – ENTERING INVOICES – ITEMS
    • Session 3: EXPENSES – ENTERING BILLS – CASH EXPENSE ITEMS
    • Session 4: HOW TO RECORD SPECIFIC TRANSACTIONS
    • Session 5 : BANK RECONCILIATION, CASH CODING
    • Session 6: ASSET REGISTER AND INVENTORY IN XERO
    • Session 7: ACCRUAL VS CASH ACCOUNTING
    • Session 8: REPORTS – P&L AND BALANCE SHEET, TRIAL BALANCE
    • Session 9: ACCOUNTING FORMULA – OVERALL UNDERSTANDING OF THE DOUBLE ENRTY SYSTEM