Units of study

Unit 7 – Day Books
Introduction
The Day Books
Purchases Day Book
Sales Day Book
Assignment
Unit 8 – Control Accounts
Introduction
Control Accounts
The Purchase Ledger Control Account
The Sales Ledger Control Account
Payments and receipts
Assignment
Unit 9 – Three Column Cash Book
Introduction
Three Column Cash Book
Bad Debts
Sale of an Asset
Paying the VAT bill
Assignment
Unit 10 - Bank Reconciliation
Bank Reconciliation
Assignment
Unit 11 Correction of Errors
Introduction
Errors that do not affect the trial balance
Errors that will affect the trial balance
Assignment
Unit 12 – The Construction Industry
Introduction
The Construction Industry
Assignment
Unit 13 – Foreign Transactions
Introduction
Withdrawal of funds by partners and directors
Foreign Transactions
Relevant Legislation
The Bribery Act, 2010
Data Protection Acts, 1998 & 2003
Health and Safety at Work
Code of Ethics
Assignment
Course Material
Revision Pack
Download Answer
Examination Guide
Final Exam Guide
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