In summary, you could see that reconciling items include:
• Items arising from timing differences where the client has recorded something
that the bank has not yet recorded - adjustment not necessary.
• Items that the client has not recorded or recorded incorrectly - adjustment
necessary.
If the reconciling item appears to need adjusting, as part of our testing of the
control, we follow up to see if an adjusting journal entry was posted by the client.
If this is the year end and the client has made the necessary adjustments to the
cash book, the adjusted general ledger figure will feed through to the final
accounts and financial statements.
However, if this is the year end and the client has not made the necessary
adjustments, we may propose an audit difference if the amount is greater than
AMPT.
You will learn more about your role when we the discuss control and substantive
testing that we perform on a client's bank reconciliation. First, you will now learn
how to evaluate the design and implementation of a client's bank reconciliation
control.
In summary, you could see that reconciling items include: • Items arising from timing differences where the client has recorded something that the bank has not yet recorded - adjustment not necessary. • Items that the client has not recorded or recorded incorrectly - adjustment necessary. If the reconciling item appears to need adjusting, as part of our testing of the control, we follow up to see if an adjusting journal entry was posted by the client. If this is the year end and the client has made the necessary adjustments to the cash book, the adjusted general ledger figure will feed through to the final accounts and financial statements. However, if this is the year end and the client has not made the necessary adjustments, we may propose an audit difference if the amount is greater than AMPT. You will learn more about your role when we the discuss control and substantive testing that we perform on a client's bank reconciliation. First, you will now learn how to evaluate the design and implementation of a client's bank reconciliation control.
การแปล กรุณารอสักครู่..
