Accounting Skills Tests
Aside from the continuing education requirement every three years, certified bookkeepers must also be equipped with strong attention to detail and mathematical skills. Staff Testing, Inc. provides general skills and aptitude accounting pre-employment tests to ensure all requirements for your positions are filled. Staff Testing, Inc. has built a full library of accounting testing options to ensure that you current staff is up to date on the latest technology and practices. Ensure the skill-level of your workforce with Staff Testing’s premier accounting software tests.
Beyond ready-made accounting tests for typical job positions, Staff Testing, Inc. offers tremendous flexibility and customization, at an affordable price. You can comprehensively evaluate the capabilities of candidates, based on the specific skill requirements of the position, with either of our standard, or a customized test list. Refer to our accounting pre-employment and accounting software testing options listed below.
"StaffTesting.com is the best online skill assessment product on the market"
Available Tests
Accounting
Accounting Tests
- Accounting Terminology - Advanced
- Accounting Terminology - Basic
- Accounts Payable
- Accounts Receivable
- ACCPAC Pro Series
- ADP - Payroll
- Advanced Accounting
- Bookkeeping - Professional
- Business Income Tax
- Corporate Tax Accounting
- Cost Accounting
- Fixed Assets
- General Accounting
- General Ledger Knowledge
- Individual Income Tax
- JD Edwards
- MAS 90 - Bookkeeping
- MYOB Accounting Plus
- Partnership Tax Accounting
- Payroll Clerk
- Payroll Management
- Peachtree 2007
- Peachtree Accounting 2003
- QuickBooks Pro 2000
- QuickBooks Pro 2005
- QuickBooks Pro 2006
- QuickBooks Pro 2008
- QuickBooks Pro 2009
- QuickBooks Pro 2010
- QuickBooks Pro 2011
- QuickBooks Pro 2012
- QuickBooks Pro 2013
- Quicken 2003 Basic
- Sage Line 50
- Sage Line 50 v12
- Sage MAS 90/200
- Sage Peachtree Pro 2012
- Sage Simply Accounting Pro 2012
- Sage Simply Accounting 2006
- Sage Simply Accounting 2010
Financial Tests
- Auditing
- Bank Teller Skills
- Basic Bank Teller Skills
- Budget Aide Skills
- Budget Officer Skills
- BusinessObjects 5 - Client
- Casualty Insurance - Automobile
- Commercial Banking Knowledge
- Commercial Collections
- Commercial Insurance Knowledge
- Credit Analyst
- Credit Management
- Customer Service Mindset Survey
- Data Entry 10 Key [Hardcopy]
- Data Entry 10 Key [Onscreen]
- Data Entry 10 Key Quick Test [Hardcopy]
- Data Entry 10 Key Quick Test [Onscreen]
- Data Entry 10 Key With Decimals [Hardcopy]
- Data Entry 10 Key With Decimals [Onscreen]
- Data Entry Alpha Numeric [Hardcopy]
- Data Entry Alpha Numeric [Onscreen]
- Data Entry Check Number Database [Hardcopy]
- Data Entry Check Number Database [Onscreen]
- Data Entry Inventory Database [Hardcopy]
- Data Entry Inventory Database [Onscreen]
- Financial Analysis
- Financial Management
- Financial Math
- Financial Spelling
- Great Plains
- International Financial Reporting Standards
- Investment Management: US Equities and Equities Products
- Loan Officer Skills
- Loan Processing
- Loan Underwriting Knowledge
- Payroll
- PeopleSoft Financials
- Property Insurance
- Property Management
- Purchasing Fundamentals
- Reconciliation
- SAP for Users
- Title Insurance Knowledge
Peachtree Complete Accounting 2009
- New features in Peachtree
- Accounting Primer
- Working with Time and Billing
- Working with Memorized Transactions
- Working with the Chart of Accounts
- Working with Payroll
- Working with Analysis Managers
- Using Job Costing
- Setting up and Maintaining Vendors
- Setting up and Maintaining Inventory
- Setting up and Maintaining Customers
- Import/ Export
- Backup Strategies
- Setting up a New Company
- About Peachtree
Peachtree Complete Accounting 2005
- Working with Time and Billing
- Working with the Environment
- Working with the Chart of Accounts
- Working with Sales Taxes
- Working with Payroll
- Working with Memorized Transactions
- Working with Inventory
- Working with General Journal
- Working with Financial Statements
- Working with Company Administration
- Working with Analysis Managers
- Working with Accounts Receivable
- Working with Accounts Payable
- Using Job Costing
- Setting up and Maintaining Vendors
- Setting up and Maintaining Inventory
- Setting up and Maintaining Customers
- Setting up a New Company
- Recording Quotes and Sales
- Reconciling Accounts
- Customizing Peachtree
Peachtree Complete Accounting 2003
- Setting up a New Company
- Recording Quotes and Sales
- Working with Accounts Receivable
- Working with Accounts Payable
- Working with Payroll
- Working with Inventory
- Working with the Chart of Accounts
- Working with General Journal
- Setting up and Maintaining Customers
- Setting up and Maintaining Vendors
- Setting up and Maintaining Inventory
- Using Job Costing
- Working with Financial Statements
- Working with Memorized
- Transactions
- Working with Sales Taxes
- Reconciling Accounts
- Working with Fixed Assets
- Working with Time and Billing
- Working with Analysis Managers
- Working with Company Administration
- Working with the Environment
- Customizing Peachtree
Intuit QuickBooks Enterprise Solutions 2014
- General Ledger and Fixed Assets
- Customers
- Vendors
- Banking
- Inventory
- Utilities
- Reports
- Payroll
Intuit QuickBooks Enterprise Solutions 2012
- Banking
- Using Reports
- Managing Employees and Payroll Inventory
- Managing Vendors and Expenses
- Managing Customers and Sales General Settings
- Managing Accounts and Fixed Asset
Intuit QuickBooks Pro Plus 2011
- Banking and Online Services
- Making Journal Entries
- Working with Reports
- Payments and Payrolls
- Inventory and Lists
- Customers and Vendors
- Invoices and Credit Memos
- Managing Accounts and Files
- Integrating and Customizing QuickBooks
- General Knowledge and Security
Intuit QuickBooks Pro 2010
- Customizing QuickBooks
- Integrating with Other Programs
- Security
- Financial Statements and End-of-Year Tasks
- Making Journal Entries
- Invoices and Credit Memos
- Managing Accounts
- Budgets, Jobs, and Estimates
- Payments and Payrolls
- Inventory
- Banking and Online Banking Services
- Lists
- Working with Reports
- Managing Files
- General Knowledge
Intuit QuickBooks Pro 2008
- Working with Items / Inventory
- Reports
- Payments
- Managing Accounts
- Invoices
- Banking
- Receiving Money
- QuickBooks Fundamentals
- Managing Employees
Intuit QuickBooks Pro 2006
- Reports
- Managing Employees
- Banking
- Payments
- Receiving Money Invoices
- Budgets, Jobs & Estimates
- Working with Items/Inventory
- Managing Customers & Vendors
- Managing Accounts
- QuickBooks Fundamentals
Intuit QuickBooks Pro 2004
- Vendors
- Workspace and Preferences
- Working with the General Ledger
- Working with Payroll
- Working with Journal Entries
- Working with Job Costing and Tracking
- Working with Invoices
- Working with Inventory
- Working with Financial Statements
- Working with Budgets
- Working with Bank Accounts
- Working with Accounts Receivables
- Working with Accounts Payable
- Using Time Tracking
- Using the Time Tracker
- Setting up the Lists
- Setting up a New Company
- New Company
- Integrating with MS Office
- Finding Reports
- Customizing Quickbooks
- Customers
- Bank Accounts
MS Dynamics CRM® 2011 for General Use
- Service Management
- Sales Management
- Microsoft Dynamics CRM Configuration
- Reporting and Analysis
- Contracts and Cases
- Managing Marketing Campaigns
MS Dynamics GP 2010® - Financials
- Receivables Management
- General Ledger
- Payables Management
- Banking
- Fixed Assets
- Year-End Closing and Reports
- Budget
- Accounts Payable Management
MS Dynamics AX 2009® - Financials
- Dimensions, Financial Statements, and Year-End Close
- Budgeting, Cash Flow, and Multiple Currencies
- Bank Management
- Fixed Assets
- Accounts Payable
- Accounts Receivable
- General Ledger and Sales Tax
Sage Simply Accounting Pro 2011
- Inventory and Services
- Banking
- Vendors and Purchases
- Customers and Sales
- General Ledger and Chart of Accounts
- Setting Up Sage Simply Accounting
- Employees and Payroll
NetSuite 12.1 - Financials
- Intangibles
- Payroll and Shareholders
- Sales and Accounts Receivable
- Purchases and Accounts Payable
- Inventory Management
- General Accounting
Financial Accounting
- Assets, Liabilities, and Capital
- Accounting Procedures and Journal Posting
- Financial Statements
- Accounts Payable
- Accounts Receivable
- Payroll
- Loans and Expenses
Financial Analysis
- Equity Investment and Fixed Income
- Essential Concepts
- Corporate Financial Analysis
- Credit Policies and Forms
- Portfolio Management
Money Handling (US)
- Counting – Coins and Bills
- Recognizing Parts of Coins, Bills, and Checks
- Collecting Cash and Making Change
- Reconciling and Balancing a Cash Drawer
- Handling Common Errors
Bank Teller Skills
- Code of Ethics
- Money Handling
- Product Referral and Sales
- Customer Service
- Compliance
- Banking Terms
- Debits and Credits
Debt Collection
- Debt Collection Remedies
- Workout Options
- Third-Party Debt Collection Law
- Credit Policies and Forms
- Accounts Receivable
Accounting & Bookkeeping Principles
- Managing Inventory
- Working with the General Ledger
- Working with Accounts Receivable
- Working with Accounts Payable
- Accounting Fundamentals
- Working with Payroll
- Monitoring Sales