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Course Description

This one-day course walks through the required steps of setting up the General Ledger, Journal Voucher Entry, Month End Close and Reconciliation. This class will consist of lecture, hands on workshops and troubleshooting, giving the student a good working knowledge of the procedures of the General Ledger Module.

At the completion of this course the participants will have an understanding of:

  System Parameters Files
  Establishment of the General Ledger Chart of Accounts
  Establishment of the Budget File
  Journal Voucher Entry: Normal, Recurring, Reversing and Skeleton
  JV Audit reports
  The general flow of the Month End procedures
  All required Month End reports
  Month End Close and financial analysis e.g., analyzing the Trial Balance
  Entering Adjusting Journal Vouchers and running Prior Post
  Reconciling the required reports against the General Ledger
  Troubleshooting the following:
  Sub-ledgers: Debits not equal Credits
  Trial Balance; Debits not equal the Credits

Required Prerequisite:  The successful completion of the two-hour Expandable for New Users class or experience navigating Expandable and Microsoft Windows.  There are NO exceptions to these prerequisites.

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