Course Title: Prepare and bank receipts

Part B: Course Detail

Teaching Period: Term1 2009

Course Code: ACCT5252C

Course Title: Prepare and bank receipts

School: 650T TAFE Business

Campus: City Campus

Program: C4169 - Certificate IV in Financial Services (Accounting)

Course Contact : Callie Harvey

Course Contact Phone: +61 3 9925 5772

Course Contact Email:callie.harvey@rmit.edu.au


Name and Contact Details of All Other Relevant Staff

Susan Naser

Claude Marasco

Ian Nash

Philip Dean

Nominal Hours: 10

Regardless of the mode of delivery, represent a guide to the relative teaching time and student effort required to successfully achieve a particular competency/module. This may include not only scheduled classes or workplace visits but also the amount of effort required to undertake, evaluate and complete all assessment requirements, including any non-classroom activities.

Pre-requisites and Co-requisites

Nil

Course Description

This unit describes the functions involved in preparing and banking financial receipts.

If you are undertaking this course in Melbourne from semester 2, 2012 onwards your teacher will advise you if you require access to a computer for the course. It is recommended that you have access to a mobile computing device to allow greater flexibility in terms of where you can work on campus outside class times.


National Codes, Titles, Elements and Performance Criteria

National Element Code & Title:

FNSICACC304B Prepare and bank receipts


Learning Outcomes



Details of Learning Activities

Learning activities will include simulations and exercises designed to assist the learner to obtain the skills and knowledge required for this unit of competence.


Teaching Schedule

Week Date beginning Topic Learning outcome

 30th March 2009 Bank reconciliation
Petty cash 

FNSICACC304B-1

FNSICACC304B-2

FNSICACC304B-3

FNSICACC304B-4

FNSICACC304B-5

9  6th April 2009 Bank reconciliation FNSICACC304B-1

FNSICACC304B-2

FNSICACC304B-3

FNSICACC304B-5
10  20th April 2009 Petty cash

 FNSICACC304B-1

FNSICACC304B-2

FNSICACC304B-3

FNSICACC304B-5

FNSICACC304B-6

11  27th April 2009 Test three

 FNSICACC304B-1

FNSICACC304B-2

FNSICACC304B-3

FNSICACC304B-4

FNSICACC304B-5

FNSICACC306B-6


Learning Resources

Prescribed Texts

TAFE Accounting to trial balance 9th Edition Mroczkowski, Fleay, Poustie and Yates. Thomson 2006

9780170128797


References


Other Resources


Overview of Assessment

 Assessment may incorporate a variety of methods including technical requirements documentation, homework, assignments, group and/or individual projects, in class exercises, written and practical tests, problem solving exercises, presentations, direct observation of actual and simulated work practice and presentation of a portfolio of evidence.

Students are advised that they are likely to be asked to personally demonstrate their assessment work to their teacher to ensure that the relevant competency standards are being met. Students will be provided with feedback throughout the course to check their progress.

 


Assessment Tasks

The test for this competency will assess the students ability to correctly complete a bank reconciliation statement and to maintain the records for a petty cash imprest system and to monitor cash flows.


Assessment Matrix


Element Test three Resubmissions available
FNSICACC304B-1  Yes Yes
FNSICACC304B-2  Yes Yes
FNSICACC304B-3 Yes Yes
FNSICACC304B-4 Yes Yes
FNSICACC304B-5 Yes yes

Course Overview: Access Course Overview