Commercial Accounting 商业会计

Account All-Rounder

Session 1-Accounts Payable and Purchase Processing and Three Way Matching

Session 2-Accounts Receivable and Sales Processing and Debit Collection

Session 3-Payroll; Superannuation; Payroll Tax Processing; Worker’s Compensation and PAYG withholding tax

Session 4-Intermediate Excel

Session 5-Resume preparation and Interview skill

Assistant accountant

Session 1 - Bank Reconciliation

  • Online bank statement
  • Bank account transaction in accounting software
  • Formal bank reconciliation statement

Session 2 -Balance sheet rec (General Ledge and Sub- Ledge)

  • Trade Creditor’s rec between general ledger and sub- ledge
  • List of reasons for causing variance
  • Adjustment entry

Session 3 -Foreign currency gain or loss

  • Accounts for foreign-currency transaction
  • Accounting for the realised currency gain of loss
  • Accounting for the unrealised currency gain of loss

Session 4 -Fixed Assets Management 

  • Fixed asset register and maintenance
  • New addition; disposal and transfer
  • Fixed asset reconciliation and reporting

Session 5 -Month end Journal processing

  • Accruals Journal
  • Prepayment Journal
  • Inter-company transaction Journal

Management accountant

1 Budgeting:

Session 1 - Sources of relevant data

  • Historical data collection
  • Adjust historical and forecast data for price movements

Session 2 - Planning and agreeing draft budgets

  • The product life cycle and seasonal variation Analysis
  • Revenues linear regression analysis and forecast
  • Prepare functional budgets (production; raw materials usage and purchases; labour; variable and fixed overheads)
  • Calculate simple index numbers for one or more variables
  • Draft budgets publish and negotiation

Session 3 - Capital budgeting and discounted cash flows

  • Capital investment planning and control case study
  • The steps involved in the preparation of a capital expenditure budget
  • Explain the distinction between cash flow and profit and the relevance of cash flow to capital investment appraisal
  • Calculate nominal and effective interest rates
  • Explain and illustrate the net present value (NPV) and internal rate of return (IRR) methods of discounted cash flow
  • Calculate NPV; IRR and payback (discounted and non-discounted)

Session 4 - Prepare master budgets (statement of profit or loss and statement of financial position)

  • Explain the importance of flexible budgets in control
  • ‘What if’ analysis and scenario planning

Session 5 - Budgetary control and reporting

  • Calculate simple variances between flexed budget; fixed budget and actual sales; costs and profits
  • Potential action to eliminate variances
  • Identify controllable and uncontrollable costs
  • Example of control reports suitable for presentation to management. (To include recommendation of appropriate control action)

2 Management Accountant ad hoc reporting

Session 1 - Revenue Multi-dimension Analysis

Session 2 - Pricing & Product Mix Report   

Session 3 - Fix and Variable Costing Report

Session 4 - Operating Expense Control Report

Session 5 - Gross Margin Report

Session 6 - Dividend and transfer pricing

Session 7 - Valuation of free cash flows

Session 8 - Discounted cash flow

Session 9 - Evaluating Option Pricing and Capital Investments

Session 10 - Valuation for Acquisitions and Mergers