BCAF003: Business Accounting Assignments
BCAF003 Business Accounting Assignment: Bank Reconciliation, FIFO Inventory Costing, Depreciation & Balance Sheet Presentation, and Financial Ratio Analysis
Temasek Polytechnic School of Business Individual Assignment Question 1 (26 marks) PART A (11 marks) Dizi Pte Ltd received its June bank statement from Lloyd Bank: After reviewing the records, the business discovered that $3,221.08 deposited on 30 June had…
BCAF003 Business Accounting Assignment : Source Documents, Equity & Trial Balance for TasteTrail Markets
BCAF003 Assignment 1 Question 1 (3 marks) Part 1 Source documents are an important part of the accounting process. Refer to Lecture 2 APPENDIX L2/1. Collect one source document from a business entity, e.g., a Singtel bill, TP receipt, etc.,…
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