General Ledger & Bank Reconcilation in Microsoft Dynamics GP 2010
Date:
Wednesday, June 5, 2013 - 8:30am to 4:30pm
Thursday, July 11, 2013 - 8:30am to 4:30pm
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Class Description:
This course explores the General Ledger accounting cycle and the processes required to enter financial data into the system. This training material also shows how to perform additional functions such as account reconciliation, budgeting, allocation, period-end and year-end closing procedures. View full course description
CPE Credits: 7
Prerequisites: Basic Knowledge
Product:
Microsoft Dynamics GP
Class Location:
5433 Westheimer
Suite 1000
Houston, TX 77056
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Class Cost:
$450.00
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