Beschikbare bestandsformaten:
.xlsx
Using this Bank Reconciliation worksheet template template guarantees that you will save time, cost and efforts and enables you to reach the next level of success in your project, education, work, and business. Download it now!
Looking for more? Our collection of financial documents, templates, forms, and spreadsheets includes templates designed specifically for small business owners, private individuals, or Finance Staff. Find financial projections to calculate your startup expenses, payroll costs, sales forecast, cash flow, income statement, balance sheet, break-even analysis, financial ratios, cost of goods sold, amortization and depreciation for your company. These financial templates also work with OpenOffice and Google Spreadsheets, so if you are operating your business on a very tight budget, hopefully, you'll be able to make these financial templates work for you as well.
HOW TO DO A BANK RECONCILIATION,,,,, "This document will guide you through how to do a monthly bank reconciliation, as required for your DSU audit submission.. ",,,,, "The remaining pages in this workbook contain monthly autocalculating bank reconciliation templates for you to fill in, print off, and add to your records.",,,,, ,,,,, ,Bank Reconciliation ,,,,SOCIETY: Your society name.. ,General Ledger,,,"2115,74", ,,,,, ,,Adjustment to Ledger,,, ,Bank Fees,,"3,5",, ,,,,, ,Adjusted General Ledger ,,,"2112,24", ,,,,, ,,,,,ADJUSTED GENERAL LEDGER: This will automatically subtract Bank Fees from General Ledger..
DISCLAIMER
Hoewel all content met de grootste zorg is gecreërd, kan niets op deze pagina direct worden aangenomen als juridisch advies, noch is er een advocaat-client relatie van toepassing.
Laat een antwoord achter. Als u nog vragen of opmerkingen hebt, kunt u deze hieronder plaatsen.