EBP ACCOUNTING: BUSINESS ACCOUNTING SOFTWARE.
This course will enable you to become self-sufficient in bookkeeping.
using EBP Compta accounting software.
EDUCATIONAL OBJECTIVES
- Be able to Set up an efficient accounting system.
- Be able to enter routine transactions.
- Be able to carry out the essential control operations (lettering,
bank reconciliation). - Be able to produce standard accounting documents (ledgers, balances, etc.),
newspapers, etc.)
PUBLIC CONCERNED
Employees
PRE-REQUISITES
No
RATE
3500 €
DURATION OF THE COURSE AND ORGANISATIONAL ARRANGEMENTS
5 days
PLACE OF TRAINING
1436 Route de Baduel 97300 Cayenne
TEACHING RESOURCES AND METHODS
- Theoretical contributions
- Exercises
PROFILES OF THE TRAINER(S)
Trainers specialised in the technical field being taught. They work in the electricity sector. They are in direct contact with the realities of the profession and its development.
TECHNICAL RESOURCES
We take care to provide an appropriate working environment and the technical resources needed for effective learning.
CONTACT
06 94 93 46 32 – 05 94 27 37 27
contact@abondanceformation.com
ACCESSIBLE TO THE DISABLED
If a beneficiary has particular constraints linked to a disability, please contact us beforehand so that we can adapt the action of
training.
ACCESS PROCEDURES AND DEADLINES
Registration on contact@abondanceformation.com / Registration form
COURSE CONTENT
1/ Launch
- Installation,
- Launch the software,
- Create a folder.
2/ General settings and tools
- Set preferences,
- Set VAT rates,
- Set up logs,
- Set up payment methods,
- Set up the chart of accounts,
- Reformat the accounts,
- Clean up the chart of accounts,
- View the event log.
3/ Entry of routine journal entries (purchases, sales and other)
treasury)
- Standard data entry,
- Guided entry: - Use an existing entry guide, - Modify the settings of an existing entry guide, - Create your own entry guides, - Create subscription guides, - Generate subscription entries.
- Import your bank statement in Excel format,
- Modify entries after entry.
4/ Account consultation and lettering
- Account consultation,
- Lettering a customer and/or supplier account,
- The search for writing.
5/ The bank reconciliation statement
- Create a bank reconciliation,
- Manual clocking,
- Automatic clocking in and out,
- Modify / View / Print a reconciliation report
banking.
6/ Current editions
- Print newspapers,
- Print the general ledger - Print the trial balance,
- Print the list of accounts moved,
- Print the list of logs.
7/ Annual closing
- Validate entries,
- Editing logs,
- Draw up the balance sheet and income statement,
- Archiving the file,
- Closing the financial year.