ACCA Maintaining Financial Records (FA2) Exam Kit (Valid Till June 2024) - 9781839963773 - Kaplan Publishing

ACCA Maintaining Financial Records (FA2) Exam Kit (Valid Till June 2024) - 9781839963773 - Kaplan Publishing

ISBN: 9781839963773
Publisher: Kaplan Publishing
Stock Availability: In stock, usually dispatch within 1 to 2 working days
Format: Paperback
Regular price
RM79.75
Regular price
RM91.67
Sale price
RM79.75
1 item(s) left in stock!

Authenticity & Brand New Guarantee

All books are brand new and sourced directly from the publisher or authorised distributors
We guarantee the authenticity in all our books or 100% money back guarantee

Courier Delivery

In stock items are usually dispatched within 1 working day
Expected delivery within 1 to 3 working days
Ships from Shah Alam, Selangor

Self Pick-Up (By Appointment Only)

1. Contact Customer Service (018-389 8801) by call / WhatsApp to reconfirm stock availabilty
2. Select Self Pick-Up option during checkout and make payment online (we do not accept in-store payment)
3. Provide collector's name, mobile and pick-up time

Self Pick-Up Hours
Monday to Friday (except public holidays)
Morning: 9.00am - 12.00pm
Afternoon: 2.00pm - 5.00pm

  • MyBuku.com

Customer Reviews

Be the first to write a review
0%
(0)
0%
(0)
0%
(0)
0%
(0)
0%
(0)

Product Description

The Maintaining Financial Records Exam Kit complements the Study Text, with 400 exam-style questions about maintaining financial records using modern computerised accounting processes. You’ll be tested on the use of double-entry accounting techniques, as well as key examinable topics such as preparing accounts.

Included is our recommended revision approach, and practice questions with answers. Kaplan Publishing Exam Kits are ACCA approved, and the content covers the full syllabus.

Topics covered:

Maintenance of financial records
Generally accepted accounting principles and concepts
The principles and processes of basic bookkeeping
The preparation of journals and ledger accounts
Recording transactions and events
The preparation of a trial balance (including identifying and correcting errors)
Reconciling the business bank account and individual supplier account balances with external sources of information.
Extending the trial balance, year-end adjustments and final accounts

Recently Viewed Products