Back to Products & Services

Reconciliations and Proof of Cash

Educational Training | Fiscal Officer

This session will help you identify and compile differences between book and bank activity, by month, in order to populate final adjustments needed to reconcile the books to the bank.

Note: You must be logged in to have access/purchase this webinar. Our Resource Center and main website are connected, so once you log in on one, you will automatically be logged in on the other. 

Non-Member Price: $20
Member Price: $10