Preparing Financial Statements and the Annual Report Training Course in Kuala Lumpur

BMC Training provides Preparing Financial Statements and the Annual Report Course in Kuala Lumpur.There are 11 sessions for the course Preparing Financial Statements and the Annual Report in Kuala Lumpur , Malaysia.

Preparing Financial Statements and the Annual Report Training in Kuala Lumpur , Malaysia

Course Address : Westin Kuala Lumpur Hotel - Course Fees : 4450 GBP

City Start Date End Date View
Kuala Lumpur , Malaysia 24 - 9 - 2023 28 - 9 - 2023
Details
Kuala Lumpur , Malaysia 15 - 10 - 2023 19 - 10 - 2023
Details
Kuala Lumpur , Malaysia 19 - 11 - 2023 23 - 11 - 2023
Details
Kuala Lumpur , Malaysia 26 - 11 - 2023 30 - 11 - 2023
Details
Kuala Lumpur , Malaysia 17 - 12 - 2023 21 - 12 - 2023
Details
Kuala Lumpur , Malaysia 21 - 1 - 2024 25 - 1 - 2024
Details
Kuala Lumpur , Malaysia 28 - 1 - 2024 1 - 2 - 2024
Details
Kuala Lumpur , Malaysia 25 - 2 - 2024 29 - 2 - 2024
Details
Kuala Lumpur , Malaysia 10 - 3 - 2024 14 - 3 - 2024
Details
Kuala Lumpur , Malaysia 17 - 3 - 2024 21 - 3 - 2024
Details
Kuala Lumpur , Malaysia 28 - 4 - 2024 2 - 5 - 2024
Details

The course outlines of Preparing Financial Statements and the Annual Report Training in Kuala Lumpur

Objectives:

By the end of the program, participants will be able to:

  • Practically apply each part of the accounting cycle.
  • Perform accounting adjustments including deferrals and accruals.
  • Create trial balance and adjusted trial balance.
  • Map chart of accounts to the financial statements.
  • Prepare and present income statements, balance sheets, and cash flow statements.
  • Formulate notes to the financial statements.

The Content:

The Accounting Cycle

  • Understanding the Accounting Cycle
  • Supporting Documents
  • Analyzing Transactions and Recording in the System
  • Preparing Ledgers and General Ledgers (GL)
  • Converting the GL to Trial Balance (TB)
  • Types of Adjusting Entries
  • The Adjusted Trial Balance (ATB)
  • Mapping ATB to the Financial Statements
  • Preparing Financial Statements
  • Closing the Books
  • Preparing the Post-Closing Trial Balance (PCTB)

Chart of Accounts and Design Techniques

  • Designing Chart of Accounts
  • Maintenance of Chart of Accounts
  • Analyzing Chart of Accounts
  • Reconciliations and Important Issues
  • Creating the Trial Balance

Accounting Adjusting Entries

  • Understanding Deferrals
  • Deferred Revenues and Entries
  • Deferred Expenses Entries
  • Working with Accruals
  • Adjusting for Accrued Revenues
  • Accrued Expenses Entries
  • Other Adjustments and Corrections
  • Preparing the Adjusted Trial Balance

Preparing Financial Statements and Notes

  • Mapping the Adjusted Trial Balance to the Financial Statements
  • Preparing Income Statements
  • Preparing Balance Sheets
  • Preparing Cash Flow Statements
  • Preparing the Equity Statements
  • Reading and Interpreting the Audit Opinion

Notes to the Financial Statements

  • Understanding the Requirements for the Notes
  • Organization and Activities of Notes
  • Basis for Preparation
  • Summary of Significant Accounting Policies
  • Accounting Convention
  • Use of Estimates
  • Completing the Financial Statements and the Notes