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Bookkeeping : manual & computerised / John Roche.

By: Material type: TextTextPublication details: Dublin : Gill & Macmillan, 2012.Edition: 3rd edDescription: 384 p. ; 24 cmISBN:
  • 9780717152704 (pbk.) :
  • 9780717152704 (pbk.)
Subject(s): DDC classification:
  • 657.2 ROC
LOC classification:
  • HF5636
Contents:
Part I.Manual bookkeeping -- 1.Manual bookkeeping -- 2.Daybooks -- 3.Ledgers -- 4.Trial balance -- 5.Bank reconciliation -- 6.VAT 3 form -- 7.Exercsies M-1, M-2, M-3 and M-4 -- Part 2.Installing the program and creating new company -- 1.Installing the TASBooks program and creating a new company -- Parft 3.Computerised bookkeeping -- 1.Computerised bookkeeping -- 2.Sales invoices and credit notes -- 3.Sales ledger -- 4.Purchase ledger -- 5.Cash books -- 6.Nominal ledger -- 7.Customers and suppliers -- 8.Products and services -- 9.Report printing -- 10.Bank reconciliation -- 11.Leger dates -- 12.Back up and restore company data files -- 13.Transaction summary -- 14.Exerciases C-1, C-2, C-3 and C-4 -- Part 4.Sample project -- 1.Sample manual project -- 2.Sample solution -- 3,Sample project marking scheme -- Part 5.Sample examinations -- 1.Sample computerised examination -- 2.Sample solution -- 3.Sample examination marking scheme
Summary: This text provides instruction on how to record, edit, interpret and analyse financial data using manual and computerised bookkeeping systems.
Holdings
Item type Current library Call number Copy number Status Date due Barcode
Long Loan TUS: Midlands, Main Library Athlone General Lending 657.2 ROC (Browse shelf(Opens below)) 1 Available 218443
Long Loan TUS: Midlands, Main Library Athlone General Lending 657.2 ROC (Browse shelf(Opens below)) 1 Available 218449

Source document book has identical ISBN.

Source documents : blank daybooks and ledgers -- t.p. of Source document book.

Part I.Manual bookkeeping -- 1.Manual bookkeeping -- 2.Daybooks -- 3.Ledgers -- 4.Trial balance -- 5.Bank reconciliation -- 6.VAT 3 form -- 7.Exercsies M-1, M-2, M-3 and M-4 -- Part 2.Installing the program and creating new company -- 1.Installing the TASBooks program and creating a new company -- Parft 3.Computerised bookkeeping -- 1.Computerised bookkeeping -- 2.Sales invoices and credit notes -- 3.Sales ledger -- 4.Purchase ledger -- 5.Cash books -- 6.Nominal ledger -- 7.Customers and suppliers -- 8.Products and services -- 9.Report printing -- 10.Bank reconciliation -- 11.Leger dates -- 12.Back up and restore company data files -- 13.Transaction summary -- 14.Exerciases C-1, C-2, C-3 and C-4 -- Part 4.Sample project -- 1.Sample manual project -- 2.Sample solution -- 3,Sample project marking scheme -- Part 5.Sample examinations -- 1.Sample computerised examination -- 2.Sample solution -- 3.Sample examination marking scheme

This text provides instruction on how to record, edit, interpret and analyse financial data using manual and computerised bookkeeping systems.

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