CHAPTER SIX
BALANCE DAY
ADJUSTMENTS AND
PREPARATION OF FINAL
ACCOUNTS
, ACCOUNTING CYCLE
Source Documents
Journal Entries (Books Of Prime Entry)
Ledgers Entries (Double Entry Accounts)
Trial Balance
Adjustments for Accrual, prepayments, bad debts, depreciation, etc.
Financial Statements
,Course Outline
, Accrual vs. Cash Basis Accounting
BALANCE DAY
ADJUSTMENTS AND
PREPARATION OF FINAL
ACCOUNTS
, ACCOUNTING CYCLE
Source Documents
Journal Entries (Books Of Prime Entry)
Ledgers Entries (Double Entry Accounts)
Trial Balance
Adjustments for Accrual, prepayments, bad debts, depreciation, etc.
Financial Statements
,Course Outline
, Accrual vs. Cash Basis Accounting