Modification History
Release |
Comments |
Release 3 |
This version released with FNS Financial Services Training Package version 2.0 Release 3 created to correct typographical error |
Release 2 |
This version released with FNS Financial Services Training Package version 1.1 Release 2 created to correct typographical error |
Release 1 |
This Qualification first released with FNS Financial Services Training Package version 1.0 |
Qualification Description
This qualification reflects the job roles of employees with functions that could include financial data entry, processing accounts and payrolls, providing customer service in financial transactions and producing reports. They apply knowledge and skills to demonstrate autonomy and judgement and to take limited responsibility in known situations under general supervision.
Licensing/Regulatory Information
No licensing or certification requirements apply to this qualification at the time of publication. However, some units will specify relevant licensing, legislative and/or regulatory requirements that impact on the unit. Refer to FNS Implementation Guide Companion Volume for guidance on requirements.
Entry Requirements
Nil
Packaging Rules
Total number of units = 11
7 core units plus
4 elective units
The elective units consist of:
- 1 from the electives below.
Of the remaining 3 units:
- up to 3 may be from the electives
- up to 3 may be from Certificate III or IV in any currently endorsed training package or accredited course.
The elective units chosen must be relevant to the work outcome and meet local industry needs.
Core Units
BSBITU306 Design and produce business documents
BSBWHS201 Contribute to health and safety of self and others
BSBWRT301 Write simple documents
FNSACC301 Process financial transactions and extract interim reports
FNSACC302 Administer subsidiary accounts and ledgers
FNSACC303 Perform financial calculations
FNSINC301 Work effectively in the financial services industry
Elective Units
BSBCMM301 Process customer complaints
BSBCUS301 Deliver and monitor a service to customers
BSBCUS403 Implement customer service standards
BSBFIA302 Process payroll
BSBFIA401 Prepare financial reports
BSBITU304 Produce spreadsheets
BSBITU305 Conduct online transactions
BSBRKG303 Retrieve information from records
BSBRKG304 Maintain business records
BSBWOR301 Organise personal work priorities and development
FNSACM301 Administer financial accounts
FNSACM302 Prepare, match and process receipts
FNSACM303 Process payment documentation
FNSBKG402 Establish and maintain a cash accounting system
FNSBKG403 Establish and maintain an accrual accounting system
FNSBKG405 Establish and maintain a payroll system
FNSCRD301 Process applications for credit
FNSCRD302 Monitor and control accounts receivable
FNSCRD405 Manage overdue customer accounts
FNSCUS402 Resolve disputes
FNSORG301 Administer fixed asset register
FNSRTS301 Provide customer service in a retail agency
FNSRTS302 Handle foreign currency transactions
FNSRTS304 Administer debit card services
FNSRTS307 Maintain Automatic Teller Machine (ATM) services
FNSRTS308 Balance cash holdings
FNSRTS309 Maintain main bank account
Qualification Mapping Information
Code and title current version |
Code and title previous version |
Comments |
Equivalence status |
FNS30315 Certificate III in Accounts Administration (Release 3) |
FNS30315 Certificate III in Accounts Administration (Release 2) |
Updated typographical errors |
Equivalent qualification |
Links
Companion Volume implementation guides are found in VETNet - https://vetnet.gov.au/Pages/TrainingDocs.aspx?q=c7200cc8-0566-4f04-b76f-e89fd6f102fe