Our training Exercise is designed for finance staff of your organization to be able to calculate, ascertain and recover excess bank changes when they exist. It will also provide the essential foundation for creating an awareness among your employees that will enhance their willingness and ability to understand and support the company in this regard.
This will further equip your team with the ability to ascertain that the bank statement provided to your organization is in agreement with bank account kept by your company. This is not an audit process and will require a specialist in this field.
We at Headwaters LTD have partnered with various companies over the years to deliver on projects on reconciliation of bank charges, which means we are not just trainers but are specialist in this field and you are guaranteed to get hands on experience from our team.