Accounts Payable - Bank Reconciliation Live Training
This course is designed to familiarize participants the bank reconciliation feature in Accounts Payable in Property Management X.
Upon completion of this course, you will be able to:
- Reconcile your bank accounts.
- Work with bank reconciliation adjustments.
- Reconcile a bank statement to the General Ledger.
Important: The list price for this course is per student/attendee. Click Purchase above to purchase via PayPal or you can simply pay via credit or debit card without creating a Paypal account during checkout. Online registration is a two-step process. After registering for the course, you must select the specific date you would like to attend. You will receive a confirmation email once you have selected a date.
To request to be billed via invoice, click here. Please note that requests for invoices must be received at least 3 business days prior to the scheduled start date of the event you would like to attend.
MRI Financials - Accounts Payable/General Ledger Bank Reconciliation Live Training