Workshop XIV: Balance Sheet Account Reconciliations
This workshop is designed to assist employees who are responsible for preparing balance sheet account reconciliations for their department.
The RIT accounting staff will provide hands on training that covers why reconciliations are required, which Oracle report to use, what form to complete, how to resolve discrepancies, and why the reconciliation has to be "certified".
This session is supported by the RIT Accounting Department.
If you require interpreting services, please contact email@example.com as soon as possible.