Foreign Accounts
This department tracks revenue and expense items generated by agency activities between the company and ship-owners, agencies and customers abroad, and it evaluates the resulting debt/credit balances. The department also administers accounting relationships between the agency and ship-owners.
Purpose of the Training Session
The purpose is to equip trainees with the following skills: Explain the function and primary tasks of the Foreign Accounts Unit
Describe the job flow process of the Foreign Accounts Unit
Identify the documents that the Foreign Accounts Unit uses and generates
Classify the categories of procedures related to disbursement accounts
Describe additional accounts that occur periodically
Explain other tasks performed by the Foreign Accounts Unit to create a vessel account
Training Session Topics
Primary Tasks Carried Out by the Foreign Accounts Unit
Preparation to Create a Vessel Account
Stages of Creating a Disbursement Account
Monthly and Additional Accounts
Additional Tasks Required for Creating a Vessel Account
Length of the Training Session:
1,5 days