Trial Balance

As part of my hands-on accounting experience, I prepared a complete Trial Balance for Digital Bytes Pty Ltd as of 29 February 2024. This task reflects a typical client engagement where I was responsible for reviewing, classifying, and reconciling financial records to ensure accuracy and compliance.
🎯 Key Objectives
- Ensure accuracy in ledger balances
- Reconcile debits and credits
- Present a clear and complete trial balance for review
- Demonstrate knowledge of financial reporting structures
🔍 Skills Demonstrated
- General Ledger Analysis
- Double-Entry Bookkeeping
- Expense & Revenue Classification
- Software & Spreadsheet Accuracy
- Business Accounting Standards
- Client-Ready Financial Documentation
👤 My Role
I independently managed the full scope of this task — from data extraction and classification to final report formatting. This trial balance was prepared using structured, accurate accounting methods suitable for internal and external financial reviews.
💡 Why This Matters
This project showcases my ability to manage end-to-end financial reporting. For clients, this means working with a finance professional who brings precision, transparency, and professionalism to every engagement.