You will be given a series of transactions made by a company for a certain month.
These transactions need to be entered into the correct accounting ledgers (e.g.: purchases journal) in a word file; and,
Then entered into MYOB using a custom account file (with the correct ledgers already set up).
Finally, balance, income statement and account schedules need to be created.
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Expert Accountant, Auditor & MBA Professional with High Honors award is here for you ready to work on this task as soon as possible. Best quality results guaranteed. Sincerely, Ruby (Phil. CPA, US MBA High Honors)
hello i am MBA finance and accounting and working as visiting lecturer at University, experienced in writing and finance. looking forward to work on. Thank You