FA 1 RECORDING FINANCIAL TRANSACTIONS Programme outline (Details of each topic are provided in the ACCA syllabus and study guide) Session 1 Types of Business Transactions and Documentation

Session 2 Duality of transactions and the double entry system

Session 3 Banking System and Transactions Payroll

Session 4 Ledger accounts Cash & Bank

Session 5 Sales and credit transactions

Session 6 Purchases and credit transactions Reconciliation introduction

Session 7 Reconciliation

Session 8 Preparing the trial balance & correcting errors

Session 9 & 10 Revision session A – 50 questions in class and 50 questions for assignment Revision Session B – Assignment from session A and 25 further questions NB MCQs must be done in every session after the tutorial of each topic