Facing difficulties in ensuring balance sheet accuracy?
Learn how to correctly set up and perform revaluation of transactions in currencies different from your functional currency at the current exchange rate. Take advantage of Sage 300’s versatile multi-currency manager and simplify international commerce.

Maintaining a separate spreadsheet to track your bank balance?
Discover how simple it is to perform bank reconciliation in Sage 300 with ‘matching’ rules. Understand what the monthly reconciliation process entails and never have to worry about mismatching bank transactions.

Practical examples and exercises will guide you on how to make your revaluation and bank reconciliation process quick and stress-free.


Date:  18 Jul 2019 (Thursday)
Time: 09:30am – 11:45am (Registration at 9am)
Venue: 8 Wilkie Road, Wilkie Edge, Singapore 228095
Level 7, Training Room 1 (Access via Lift Lobby 2)
Fee per Pax Accpac Care Training Seat Redemption


Programme Outline:

09:00am – 09:30am Registration 
09:30am – 09:45am Welcome Address & Sage 300 Intro
09:45am – 10:30am Topic 1: Revaluation
10:30am – 10:45am Break
10:45am – 11:45am Topic 2: Reconciliation
11:45am Q&A



To register, please download and complete this form.

Kindly fax completed form to +65 6594 7888 or email to Registration@StoneForestIT.com

Please call +65 6594 7594 or email Marketing@StoneForestIT.com

Note: The organiser reserves the right to change the venue, date and programme due to circumstances beyond our control.