Description
Title: Reconciling the Balance Sheet and Balance Day Adjustments
Webinar Code: W-CPE96
CPE Hours: 1
Cost: $88.00, including GST.
Objective: This recorded webinar looks at why the Balance Sheet needs to accurately reflect the organisation’s financial position, the need for reconciliations and balance day adjustments. We also look at the impact of unadjusted financial statements and address some common challenges of inaccurate reports. By the end of this webinar, you'll have a clear understanding of balance sheet reconciliation and how to handle Balance Day Adjustments effectively.
Accurate financial reports are important for:
1. Decision-making
2. Stakeholder confidence
3. Regulatory compliance.
What we cover:
- Understanding the Balance Sheet
- The Impact of Unadjusted Financial Statements
- The Reconciliation Process
- Balance Day Adjustments
- Reversing Balance Day Adjustments.
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Accreditation : TPB Compliant CPE
Details/Format : Recorded Webinar
Outcome/Learning : Mastering the Balance Sheet with Accurac...
Type : Structured
Evidence of Completi... : Certificate
CPE Hours : 1