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Accounts
Payable/Receivable
Certificate III FNS30304
Business,
Education & Industry
Learning
Method: Correspondence with online support
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Tutorial 1: Working in the Financial Services Industry FNSICIND301A
What is the financial services industry?
Accounting products and services
Learning about the industry
Client account basics
Regulation of the financial services industry-overview
Regulatory bodies
Legislation
Industry codes of practice
Policies, guidelines and procedures
Working in a company: organisational values and ethical standards
Researching Australian banking
Tutorial
2: Communicate in the Workplace FNSICGEN301A
Use a range of techniques to gain workplace information. Communicate
information to others using a range of techniques.
Interact with others to achieve workplace outcomes.
Record workplace information.
Tutorial
3: Use Technology in the Workplace FNSICGEN302A
Getting to know windows.
Opening an application.
Using programs and applications in Windows.
Keeping your files and folders organised.
Organise your computer using My Computer.
Customising your computer.
Accessing the Control Panel.
Add/remove programs.
Using the Internet and e-mail for work.
Using help manuals and files.
Following organisational security procedures.
Routine mainteinance.
Using peripheral equipment.
Tutorial
4: Create and Use Simple Spreadsheets (Excel)
BSBCMN214A
Creating basic accounting spreadsheets.
Modifying spreadsheets and applying formulae for calculations.
Formatting and printing worksheets.
Saving worksheets.
Working with multiple worksheets.
Cell formats.
Producing Excel charts.
Working with MYOB and Excel.
Tutorial
5: Prepare and Bank Receipts FNSICACC304A
Documentation you need to prepare.
Preparing payments.
The cash payment book.
Your daily cash flow.
MYOB.
Documentation for the receipt of funds.
Depositing funds into your bank account.
Receiving payments.
Bank reconciliation.
Security and safety precautions.
Tutorial 6: Process Journal Entries
FNSICACC306A
Check and verify supporting documentation.
Sales invoices and proof of delivery.
The sales journal.
Stock control and sales.
MYOB Sales.
Invoicing.
Stock control.
Purchase invoices and proof of delivery.
The purchase journal.
Stock control and purchases.
Entering MYOB Purchases.
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Tutorial
7: Administering Accounts Payable FNSICACC301A
Distribute creditors invoices for authorisation.
The accounts payable journals.
Trade creditors ledger.
Recording settlement discount.
Settlement discount and GST.
Paying your creditors.
Reconciling the creditors ledger.
Accounts payable reporting.
Tutorial
8: Reconcile and Monitor Accounts Receivable
FNSICACC307A
Allocate customer payments.
Accounts receivables journals.
The debtors ledger.
Recording the settlement discount.
Settlement discount and GST.
Debtors receipts.
Dishonoured cheques.
Reconciling the debtors ledger.
MYOB and debtors receipts.
Accounts receivable reporting.
Maintaining customer details.
Tutorial 9: Maintain Daily Financial/Business
Documents FNSICGE305A
Process financial forms and applications.
Prepare and process banking documents and petty cash documents.
Process petty cash transactions.
Prepare and process invoices for payment to creditors and
for debtors.
Tutorial 10: Maintain Financial Records
BSBCMN308A
Maintain the daily financial records.
Maintain general ledger.
Reconcile accounts receivable and accounts payable.
Prepare a trial balance.
Make and receive payments.
Collect or follow up outstanding accounts.
Monitor cash control.
Document account matters and follow organisational procedures.
Tutorial 11: Set Up and Operate a Computerised Accounting
System (MYOB) FNSACCT407A
Setting up a business Chart of Accounts.
Inventory.
Recording sales and other income.
Processing transactions.
Recording purchases and other expenses.
Bank Reconciliations.
Producing reports.
System integrity and security.
Backing up your work.
Tutorial 12: Prepare Financial Reports
BSBADM408A
Maintain asset register of property, plant and equipment.
Calculate depreciation.
Adjust expense and revenue accounts.
Depreciation of non-current assets and disposal of fixed assets
recording.
Prepare final general ledger accounts.
Prepare end of period financial reports.
Tutorial 13: Workplace Health and
Safety FNSICGE304A
Prevention.
What is an accident?
Hazards and Risks.
Health Workstation ergonomics.
Manual handling.
Health and safety procedures.
Complaint handling guidelines.
Emergencies.
First aid.
Emergency response equipment.
Evacuation drills.
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Learn
more about the Accounts Payable/Receivable Course with your Free Facts Pack.
Download it or have it mailed to you |
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Our clients include: Coles Myer Ltd, Australian Government, University
of NSW, ANZ Bank, Fjord Manufacturing, Camera Farm, Altitude Corporation,
Japan Motor Group, NSW Cricket Association, Mission Australia, Allswell
Life Style Management, Australia Wide Holidays Pty Ltd, Harvey World Travel,
Active Trade Solutions, Gold Coast City Council, Greenline Australia,
CSIRO ...
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