LEARNING OBJECTIVES
Restore data from Chapter 9. This backup was made on textbook page 314. All activities in Chapter 9 must be completed before starting Chapter 10.
Record and post deposits, checks and ATMs.
Complete account reconciliation.
Display the Account Register.
Display the Cash Receipts Journal, Cash Disbursements Journal, and General Journal.
Display the general ledger trial balance.
Print financial statements.
Export the October Balance Sheet and Income Statement to Excel.
Complete the Internet Activity online .
Make four backups and save two Excel files.