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Transaction Reconciling and Auditing

  • 18 Steps

About

This course provides a clear approach to managing financial records through systematic auditing, categorizing, coding, and reconciling transactions. It covers the essential techniques for organizing income and expenses, ensuring data accuracy, and identifying discrepancies in financial statements. Learners will understand the specific workflows required to maintain clean books and prepare for accurate reporting. The curriculum focuses on practical methods for verifying financial data, creating consistent coding structures, and carrying out comprehensive bank reconciliations for household or small business accounts.

You can also join this program via the mobile app. Go to the app

Overview

Price

Monthly Digital Content Subscription, $30.00/month

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