Accounting VitalSource eText: A Practical Approach (3e)

Valerie  Wilson
Suellen  Freeman
John  Freeman
Title Accounting VitalSource eText: A Practical Approach
Edition 3rd
ISBN 9781442539686
ISBN 10 1442539682
Published 07/10/2010
Published by Pearson Australia
Pages
Format Digital Vital Source
 
Total Price $72.95 Add to Cart
Description

Pearson VitalSource Editions - digital books that fit your portable lifestyle

The full text downloaded to your computer
You can:

  • Search for key concepts, words and phrases
  • Make highlights and notes as your study
  • Share your notes with friends

This 3rd edition of Accounting: A Practical Approach continues to provide an easy to read, practical introduction to accounting concepts. The many worked examples and illustrations put the theory into context. Students can then apply their knowledge with a wide variety of self test questions.

New to this edition
  • Supports delivery of competencies from the FNS10 Training Package 
  • Includes coverage of both periodic and perpetual inventory systems 
  • Now covers GST Paid and GST Collected in Supplier and Customer Statement Reconciliations, plus debtor management 
  • Enhanced coverage of depreciation and disposal of non current assets, including Gain or Loss on disposal 
  • Coverage of receipting and banking has been expanded to include credit cards.
Features & benefits
  • Worked Examples illustrate how to put the theory into practice 
  • Self Test questions test student understanding of the theory
Author biography

Valerie Wilson has more than 25 years experience in Vocational Education and Training (VET), teaching in the areas of introductory, financial and corporate accounting, and has experience in internal audit organisations.

Suellen Freeman is a head teacher of accounting, banking and finance with many years of teaching experience in VET.

John Freeman has been teaching accounting and finance in the VET sector since 2002 after a long career as an accountant in government and commercial organisations.

Target audience

BSBFIA401A Prepare financial reports
FNSACC301A Process financial transactions and extract interim reports
FNSACC302A Administer subsidiary accounts and ledgers
FNSACC303A Perform financial calculations
FNSACM301A Administer financial accounts
FNSACM302A Prepare, match and process receipts
FNSACM303A Process payment documentation
FNSACM401A Evaluate and authorise payment requests
FNSBKG402A Establish and maintain a cash accounting system
FNSBKG403A Establish and maintain an accrual accounting system
FNSCRD302A Monitor and control accounts receivable
FNSCRD403A Manage and recover bad and doubtful debts
FNSCRD405A Manage overdue customer accounts
FNSORG301A Administer fixed asset register

Access Code info.

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