Business & Management

Accounting & Bookkeeping

Develop practical accounting and bookkeeping skills through hands-on tasks involving journal entries, ledgers, trial balance, bank reconciliation, and financial statements.

Program overview

This Accounting & Bookkeeping Internship Program is designed to provide practical experience in maintaining and analyzing business financial records. Participants will work on real-world accounting scenarios involving journal entries, ledger preparation, trial balance, bank reconciliation, accounts receivable, accounts payable, and basic financial statement preparation.

The program focuses on developing accurate bookkeeping practices, understanding the accounting cycle, maintaining financial records, identifying accounting errors, and preparing basic reports that support business financial management.

Learning outcomes

  • Understand the fundamentals of accounting and bookkeeping.
  • Understand the complete accounting cycle.
  • Prepare journal entries for common business transactions.
  • Maintain and prepare ledger accounts.
  • Prepare and interpret a trial balance.
  • Perform basic bank reconciliation.

Tasks & modules

Task Difficulty
Journal Entries and Ledger Preparation Easy
Trial Balance and Bank Reconciliation Medium
Financial Statements and Bookkeeping Project Medium
Social Media Engagement & Community Connect Medium

Benefits

  • Gain practical experience in accounting and bookkeeping.
  • Develop skills in journal, ledger, and trial balance preparation.
  • Learn practical bank reconciliation procedures.
  • Understand basic financial statement preparation.
  • Develop Excel-based accounting skills.
  • Build portfolio-ready accounting projects.

Program rules

Participants must complete all assigned tasks within the program duration.
Each task must be completed individually unless collaboration is explicitly permitted.
Participants must submit original work.
All financial transactions used in practical tasks must be accurately recorded.
Participants must maintain proper documentation for calculations and accounting records.
Any business or financial information used in submissions should be fictional, anonymized, or publicly available.

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