LEARNING OBJECTIVES
Restore data from Chapter 10. (This backup was made on textbook page 352.)
Define Peachtree's General Ledger System.
Change accounting periods.
Record and post deposits, checks, and ATM transactions for November and December.
Complete account reconciliation.
Display Peachtree's data file statistics window.
Print a General Ledger Trial Balance (unadjusted).
Journalize and post end-of-quarter adjusting entries in the General Journal.
Print the Adjusted Trial Balance and financial statements.
Close the fiscal year.
Print a Post closing Trial Balance.
Export the financial statements to Excel.
Complete the Internet Activity online.
Make eight backups and save four Excel files.