accounting cycle

Project Description:

interpretation of each of these 5 bullets points
1)review every account balance for adjustment at year's end. prepaids, accrueds, and estimates are analysed to amends.
2)prepare adjusting entries that correct accounts in error. post amount to the wtb each entry a repairer
3)pull an adjusted trial balance and foot the colums true. if debits still equal credits the process is almost through.
4)extend all account balances to the columns that are due. income statement and balance sheet separated two by two
5)food each column and then compare the totals of each dual set. the difference should be equal and a profit or loss net.
Skills Required:
Project Stats:

Price Type: Negotiable

Completed
Total Proposals: 6
1 Current viewersl
23 Total views
Project posted by:

Proposals

Proposals Reputation Price offered
  • 4.6
    647 Jobs 468 Reviews
    $9 in 0 Day
  • 0.0
    0 Jobs 0 Reviews
    $0 in 0 Day
  • 4.9
    17 Jobs 7 Reviews
    $0 in 0 Day
  • 4.5
    145 Jobs 96 Reviews
    $0 in 0 Day
  • 4.5
    355 Jobs 236 Reviews
    $25 in 0 Day