تم إضافة السؤال من قبل
Mohammad Iqbal Abubaker
, Jahaca Pty Ltd - Accounts Administrator , Jahaca Pty Ltd - Accounts Administrator
تاريخ النشر: 2017/03/09
The following steps are performed at the end of the accounting period: Prepare thetrial balance to make sure that debits equal credits. The trial balance is a listing of all of the ledger accounts, with debits in the left column and credits in the right column. At this point no adjusting entries have been made