Accounting
Follow the numbers.
Explain the difference.

Follow the numbers.
Explain the difference.
Accounting · Our commitment
Every adjustment has a reason. Make yours easy to trace.
| Entry | Amount |
|---|---|
| Bank statement balance | 1,180 |
| Deposit in transit Recorded in the ledger; not yet on the statement. | +120 |
| Outstanding cheque Recorded in the ledger; not yet cleared. | −50 |
| Adjusted bank balance | 1,250 |
A place for the method behind the answer.
Accounting course support is planned. A CPA preparation pathway is in future development.
Preparing your space…