
Computerized Practice Set for Comprehensive Assurance & Systems Tool (CAST) Plus Peachtree Complete Accounting 2012
Pearson (Publisher)
3rd Edition
Published on 11. February 2014
Book
Mixed media product
176 pages
978-0-13-314326-3 (ISBN)
Description
Comprehensive Assurance and Systems Tool (CAST) provides an integrated learning opportunity that encompasses financial statement assurance and accounting information systems. CAST uniquely exposes students to these issues at The Winery at Chateau Americana, a hypothetical company that is based on an actual domestic winery. Unlike traditional projects and assignments that may offer little or no context, students develop a rich knowledge and understanding of Chateau Americana and its industry as they provide assurance on the company's financial statements and address a variety of challenging accounting information systems issues.
The third edition has been updated in response to the changes that have occurred in the accounting environment, in technology, and in response to the many helpful comments and suggestions we have received from adopters and students alike.
In the Computerized AIS Module, the authors have provided more advanced Macro instruction and additional PivotTable practice.
The third edition has been updated in response to the changes that have occurred in the accounting environment, in technology, and in response to the many helpful comments and suggestions we have received from adopters and students alike.
In the Computerized AIS Module, the authors have provided more advanced Macro instruction and additional PivotTable practice.
More details
Edition
3rd edition
Language
English
Place of publication
United States
Publishing group
Pearson Education (US)
Target group
College/higher education
Weight
499 gr
ISBN-13
978-0-13-314326-3 (9780133143263)
Schweitzer Classification
Other editions
Previous edition
Laura R. Ingraham | J. Gregory Jenkins
Computerized Practice Set for Comprehensive Assurance & Systems Tool (CAST)-Integrated Practice Set
Book
05/2010
2nd Edition
Pearson
€39.60
Article exhausted; check for reprint
Content
Computerized Module
2. Spreadsheet Applications Using Microsoft (R) Excel 2010
2.1 Protecting the Data
2.2 Formula Auditing
2.3 Data Integrity
2.4 Simple Data Analysis
2.5 What-If Analysis
2.6 Information Needs
2.7 Macros
2.8 More Advanced Macros
2.9 Database Functions
2.10 Introduction to PivotTable Reports
2.11 Detail in Reporting
2.12 Flexible Budgeting Using PivotTables
2.13 Creating Charts From PivotTables
2.15 Wrap-Up
3. General Ledger Applications Using Peachtree Complete
Accounting 2011 (R)
3.1 Setting Up a New Company
3.2 Setting Up the General Ledger
3.3 Setting Up Beginning Account Balances
3.4 Setting Up User Security
3.5 Setting Up Accounts Receivable
3.6 Setting Up Accounts Payable
3.7 Setting Up Inventory
3.8 Setting Up Payroll
3.9 Setting Up Payroll Formulas
3.10 Entering Transactions
3.11 Transaction Set A
3.12 Month-End Procedures
3.13 Year-End Procedures
3.11 Transaction Set B
3.11 Transaction Set C
4. Database Applications Using Microsoft (R) Access 2010
4.1 Creating a New Database and New Table
4.2 Creating a Form
4.3 Ensuring Sequential Integrity
4.4 Creating Relations
4.5 Integrating Forms within Forms
4.6 Creating a Query
4.7 Creating a Report
4.8 Summary
2. Spreadsheet Applications Using Microsoft (R) Excel 2010
2.1 Protecting the Data
2.2 Formula Auditing
2.3 Data Integrity
2.4 Simple Data Analysis
2.5 What-If Analysis
2.6 Information Needs
2.7 Macros
2.8 More Advanced Macros
2.9 Database Functions
2.10 Introduction to PivotTable Reports
2.11 Detail in Reporting
2.12 Flexible Budgeting Using PivotTables
2.13 Creating Charts From PivotTables
2.15 Wrap-Up
3. General Ledger Applications Using Peachtree Complete
Accounting 2011 (R)
3.1 Setting Up a New Company
3.2 Setting Up the General Ledger
3.3 Setting Up Beginning Account Balances
3.4 Setting Up User Security
3.5 Setting Up Accounts Receivable
3.6 Setting Up Accounts Payable
3.7 Setting Up Inventory
3.8 Setting Up Payroll
3.9 Setting Up Payroll Formulas
3.10 Entering Transactions
3.11 Transaction Set A
3.12 Month-End Procedures
3.13 Year-End Procedures
3.11 Transaction Set B
3.11 Transaction Set C
4. Database Applications Using Microsoft (R) Access 2010
4.1 Creating a New Database and New Table
4.2 Creating a Form
4.3 Ensuring Sequential Integrity
4.4 Creating Relations
4.5 Integrating Forms within Forms
4.6 Creating a Query
4.7 Creating a Report
4.8 Summary