i am working in a company as wholesale in saudi arabia.i am one of the new.we are supplying to some hyper market. they will issue the money as cheque and they will send the cheque amount and invoice details also.then how can i reconcile our statement with use of that cheque details
No Answer is Posted For this Question
Be the First to Post Answer
What is vouching?
What is the motivation to join as an auditor @ Ernst and Young ?
Is Taxi bills allowed to claim the LTA?
Is bank reconcilation necessary for any organization ? If yes, when should that performed ?
If calls in arrears are presented in the balance sheet in the last year, but they were not received. So how to give the accounting treatment?
whether postpaid telephone expenses can be taken under prepaid expenses when advance payment made by a/c payee cheque for the month of march.
3 Answers Agarwal Associates, UHG,
what will be the entry in tally if some one make a will to some one from his bank?
hi i want to know the use of lookup, Hlookup and Vlookup with full example with Excel file. pls if any body have this pls help me.
How do you audit derivatives?
what is the entry for accrual expense and accrual income. And how they are treated. Thanks.
Explain the difference between internal audit and statutory audit?
what is the PRPOER way of accounting salaries ETF EPF