Deck 6: Banking Procedure and Control of Cash

ملء الشاشة (f)
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سؤال
A restrictive endorsement on a check:

A)can be further endorsed by someone else.
B)is the safest endorsement for businesses.
C)permits the bank to use its best judgment.
D)must be endorsed by the company president.
استخدم زر المسافة أو
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سؤال
The check is written and signed by the:

A)drawer.
B)drawee.
C)bank teller.
D)None of the above
سؤال
One internal control safeguard is to assign all the duties of receiving,depositing,and recording cash to separate employees.
سؤال
The drawee is the:

A)person who writes the check.
B)bank that drawer has an account with.
C)the person to whom the check is payable.
D)person named as the co-signer.
سؤال
A signature card is kept in the bank files so that possible forgeries could be spotted.
سؤال
When a bank credits your account,it is decreasing the balance.
سؤال
Using correct cash handling procedures,deposits should be made by the end of the week.
سؤال
A signature card shows the signature of only the person who authorizes others in the company to sign checks.
سؤال
Advantages of on-line banking include:

A)convenience.
B)transaction speed.
C)effectiveness.
D)All of the above are correct.
سؤال
The person or company to whom a check is payable is called the:

A)payer.
B)drawer.
C)drawee.
D)payee.
سؤال
A deposit received by the bank will:

A)debit the company's bank account.
B)credit the company's bank account.
C)debit the cash account on the company's books.
D)credit the cash account on the company's books.
سؤال
If the written amount on the check does NOT match the amount expressed in figures,the bank may:

A)pay the amount written in words.
B)return the check unpaid.
C)contact the drawer to see what was meant.
D)All of the above are correct choices.
سؤال
An example of an internal control is:

A)the use of bank account.
B)all checks are prenumbered.
C)all checks written must have reference source documents.
D)All of these answers are correct.
سؤال
Company policy for internal control should include all of the following except:

A)Employees will be rotated twice a year.
B)Monthly bank statements should be sent to and reconciled by the same employees who authorize payments and write checks.
C)The owner (or responsible employee)signs all checks after receiving authorization to pay from the departments concerned.
D)At time of payment,all supporting invoices or documents will be stamped "paid."
سؤال
Endorsing a check:

A)guarantees payment.
B)transfers the right to deposit or transfer cash.
C)allows a check to be deposited only.
D)All of these answers are correct.
سؤال
A full endorsement on a check:

A)is the same as a blank endorsement.
B)can be endorsed only by the person or company named in the original endorsement.
C)is the safest endorsement for businesses.
D)does none of the above.
سؤال
The first two numbers of the ABA code listed on the check represent:

A)the Federal Reserve District.
B)the code indicating business or personal account.
C)the routing number.
D)the account number.
سؤال
When the bank pays a check written by the company,it would:

A)credit the customer's bank account.
B)debit the customer's bank account.
C)debit the cash account on the company's books.
D)No increase or decrease is made to the company's bank account.
سؤال
Internal control over a company's assets should include the following procedures:

A)Responsibilities and duties of employees will be divided.
B)All cash receipts will be deposited into the bank the same day they arrive.
C)All cash payments will be made by check (except petty cash).
D)All of these answers are correct.
سؤال
A blank endorsement on a check:

A)can be further endorsed by someone else.
B)cannot be further endorsed by someone else.
C)is the safest type of endorsement.
D)permits only the original endorser to get the money.
سؤال
A nonsufficient funds check was returned to your company.How does the bank treat this on your bank statement?

A)It is added to the bank balance.
B)It is shown as a debit memo.
C)It is shown as a credit memo.
D)None of these answers is correct.
سؤال
Checks that have been processed by the bank and are no longer negotiable are:

A)outstanding checks.
B)canceled checks.
C)checks in process.
D)deposits in transit.
سؤال
The drawee of the check is the person receiving the money.
سؤال
Outstanding checks:

A)have been deducted from the bank balance but not the checkbook records.
B)have not been presented to the bank for payment and have not been subtracted from the checkbook.
C)have not been presented to the bank for payment but have been subtracted in the checkbook.
D)have been returned to the business for nonpayment.
سؤال
The bank statement does NOT show:

A)the beginning bank balance of the cash at the start of the month.
B)the checks the bank has paid and any deposits received.
C)any other charges or additions to the bank balance.
D)outstanding checks.
سؤال
Scotch Services received a credit memorandum from the bank.During the bank reconciliation they should:

A)increase their cash account on the company's books.
B)decrease their cash account on the company's books.
C)increase the ending cash balance on the bank statement.
D)decrease the ending cash balance on the bank statement.
سؤال
The bank statement included bank charges.On the bank reconciliation,this item is:

A)an addition to the balance per company books.
B)an addition to the balance per bank statement.
C)a deduction from the balance per bank statement.
D)a deduction from the balance per company books.
سؤال
List and describe some of the electronic conveniences that we are now provided when doing our banking.
سؤال
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
سؤال
The drawee of a check is normally the bank.
سؤال
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
سؤال
On a bank reconciliation,deposits added to the bank side are called:

A)deposits in transit.
B)bank collections.
C)deposits on hold.
D)outstanding deposits.
سؤال
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
سؤال
A deposit ticket usually combines checks deposited with coin and currency deposited.
سؤال
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
سؤال
The drawee writes the check.
سؤال
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:    <div style=padding-top: 35px>
سؤال
What is the purpose of internal control?
سؤال
Phishing occurs when a bank customer receives an email requesting personal information.
سؤال
List at least five company policies that would be included in an internal control system.
سؤال
Which of the following bank reconciliation items would be reflected in a journal entry?

A)Error made by the bank
B)Outstanding Checks
C)Bank service charges
D)Deposit in transit
سؤال
A payment for $46 is incorrectly recorded on the checkbook stub as $64.The $18 error should be shown on the bank reconciliation as:

A)added to the balance per bank statement.
B)deducted from the balance per bank statement.
C)added to the balance per books.
D)deducted from the balance per books.
سؤال
The journal entry to record the entry of a customer's nonsufficient funds check would include a:

A)debit to Revenue.
B)credit to Cash.
C)debit to Accounts Payable.
D)credit to Accounts Receivable.
سؤال
How would outstanding checks be handled when reconciling the ending cash balance per the bank statement to the correct adjusted cash balance?

A)They would be added to the balance of the bank statement.
B)They would be subtracted from the balance of the bank statement.
C)They would be added to the balance per books.
D)They would be ignored.
سؤال
From the bank reconciliation,no entry was recorded for a debit memo for a new check fee expense.This would cause:

A)liabilities to be understated.
B)liabilities to be overstated.
C)expenses to be understated.
D)expenses to be overstated.
سؤال
Bank interest earned on a checking account would be shown on a bank reconciliation as:

A)added to the balance per bank statement.
B)deducted from the balance per bank statement.
C)added to the balance per books.
D)deducted from the balance per books.
سؤال
Calculate,from the following information accumulated by Bob Clark,the adjusted cash balance at the end of April.
 Bank statement ending cash balance $3,000 General ledger cash balance ending 4,250 Bank monthly service charge 45 Deposits in transit 2,500 Outstanding checks 1,500 NSF check returned with bank statement 205\begin{array} { | l | r | } \hline \text { Bank statement ending cash balance } & \$ 3,000 \\\hline \text { General ledger cash balance ending } & 4,250 \\\hline \text { Bank monthly service charge } & 45 \\\hline \text { Deposits in transit } & 2,500 \\\hline \text { Outstanding checks } & 1,500 \\\hline \text { NSF check returned with bank statement } & 205 \\\hline\end{array}

A)$4,000
B)$4,250
C)$4,205
D)$5,500
سؤال
The bank would issue a credit memorandum to Mary's Life Management when the bank:

A)received the deposits in transit.
B)collects a note receivable from a customer.
C)discovered a check that was deposited was returned for nonsufficient funds.
D)None of these answers is correct.
سؤال
The May bank statement for Rental shows a balance of $6,300,but the balance per books shows a cash balance of $7,980.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30.
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
Which item(s)will require a journal entry to update the balance in the Cash account?

A)Checks outstanding and deposits in transit
B)Bank service charges,note collected by the bank,and deposits in transit
C)Bank service charges,note collected by the bank,and error made by Accounting Services
D)None of these answers is correct.
سؤال
Information to calculate the adjusted cash balance for Sue's Company is as follows:
 Cash balance per general ledger $2,100 Customer’s check returned-NSF 75 Bank service charges 40 Deposits in transit 500 Outstanding checks 700 Customer’s note collected by bank 645\begin{array} { | l | r | } \hline \text { Cash balance per general ledger } & \$ 2,100 \\\hline \text { Customer's check returned-NSF } & 75 \\\hline \text { Bank service charges } & 40 \\\hline \text { Deposits in transit } & 500 \\\hline \text { Outstanding checks } & 700 \\\hline \text { Customer's note collected by bank } & 645 \\\hline\end{array}

A)$2,330
B)$2,430
C)$2,630
D)$2,230
سؤال
Bank service charges would be shown on a bank reconciliation as:

A)addition to the balance per bank statement.
B)deduction from the balance per bank statement.
C)addition to the balance per books.
D)deduction from the balance per books.
سؤال
The May bank statement for Legal Services shows a balance of $6,000,but the balance per books shows a cash balance of $7,680.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
The adjusted cash balance at the end of May should be:

A)$9,810.
B)$7,620.
C)$7,150.
D)$7,880.
سؤال
The May bank statement for Consulting Services shows a balance of $7300,but the balance per books shows a cash balance of $8,980.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30.
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
Which item should be added to the company's book balance during the bank reconciliation?

A)Deposit in transit
B)Outstanding check
C)Bank service charge
D)Note collected by the bank
سؤال
Determine the adjusted cash balance per bank for Sam's Packaging on November 30,from the following information:
 Cash balance on the bank statement $3,350 Customer’s check returned-NSF 500 Customer’s note collected by the bank 600 Deposits in transit, November 30 1,400 Outstanding checks, November 30 3,650\begin{array} { | l | r | } \hline \text { Cash balance on the bank statement } & \$ 3,350 \\\hline \text { Customer's check returned-NSF } & 500 \\\hline \text { Customer's note collected by the bank } & 600 \\\hline \text { Deposits in transit, November 30 } & 1,400 \\\hline \text { Outstanding checks, November 30 } & 3,650 \\\hline\end{array}

A)$1,250
B)$1,100
C)$1,550
D)$1,350
سؤال
The May bank statement for Tax Services shows a balance of $5,300,but the balance per books shows a cash balance of $6,980.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30.
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
Which item(s)should be subtracted from the balance per books?

A)Deposits in transit
B)Checks outstanding and bank service charge
C)Bank service charge and the note collected by the bank
D)None of the above is correct.
سؤال
The journal entry to adjust the records from Nothin' But Organization bank reconciliation would include:

A)the total of outstanding checks.
B)deposits in transit.
C)notification from the bank of a customer's NSF check.
D)correction of any errors or omissions on the bank statement.
سؤال
If the owner of Pague Legal Services forgot to deduct a withdrawal from the balance per books,what entry would be necessary?

A)Debit Cash;credit Withdrawals
B)Debit Withdrawals;credit Cash
C)Customer collection taken by the bank
D)Debit cash;credit Revenue
سؤال
From the bank reconciliation,no entry was recorded for deposits in transit.This would cause:

A)assets to be overstated.
B)assets to be understated.
C)no impact since deposits in transit are already included in the balance per books.
D)no impact since deposits are not recorded on the books.
سؤال
An example of electronic funds transfer is:

A)a transfer of funds without the use of paper checks.
B)a transfer of funds by writing a check.
C)the same as a deposit in transit.
D)All of these are correct.
سؤال
A payment for $51 is incorrectly recorded on the checkbook stub as $15.The $36 error should be shown on the bank reconciliation as:

A)added to the balance per bank statement.
B)deducted from the balance per bank statement.
C)added to the balance per books.
D)deducted from the balance per books.
سؤال
Any adjustment to the depositor's records because of an item on the bank statement does not require a journal entry.
سؤال
List the various steps and procedures included in the bank reconciliation process.
What are the advantages in preparing a monthly bank reconciliation?
سؤال
The bank charged another company's deposit to our account.This would be included on the bank reconciliation as a(n):

A)addition to the balance per books.
B)subtraction from the balance per books.
C)subtraction from the balance per bank.
D)addition to the balance per bank.
سؤال
On a bank reconciliation,outstanding checks are deducted from the balance per the bank.
سؤال
Construct the bank reconciliation for Mitter Company as of July 31,from the following information:
Construct the bank reconciliation for Mitter Company as of July 31,from the following information:  <div style=padding-top: 35px>
سؤال
Deposits that have been added to the bank balance but not the checkbook balance are called deposits in transit.
سؤال
Indicate which adjustments would require a journal entry during the completion of the bank reconciliation.Place an "X" on the respective line(s).
________ a.Deposit in transit
________ b.Bank service charge
________ c.NSF check
________ d.Check written for $58 recorded on the company's ledger as $85
________ e.Outstanding checks
________ f.Check written for $42 recorded as $4
________ g.Check printing charge
________ h.Note collected by bank.
سؤال
Construct the bank reconciliation for Bob's Tutoring,as of October 31,from the following information:
Construct the bank reconciliation for Bob's Tutoring,as of October 31,from the following information:  <div style=padding-top: 35px>
سؤال
Canceled checks are negotiable at the bank for the face value.
سؤال
The bank deducted another company's check from our account.This would be included on the bank reconciliation as a(n):

A)addition to the balance per books.
B)subtraction from the balance per books.
C)addition to the balance per bank.
D)subtraction from the balance per bank.
سؤال
Transferring money without paper checks is called electronic funds transfer.
سؤال
If a check marked NSF is returned from the bank,an adjusting entry debiting Cash is needed.
سؤال
Prepare a bank reconciliation from the following information:
Prepare a bank reconciliation from the following information:  <div style=padding-top: 35px>
سؤال
When adjustments are made to the bank balance when completing a bank reconciliation,a journal entry is needed to bring the bank balance up to date.
سؤال
Indicate what effect each situation will have on the bank reconciliation process.Place the number of your choice beside the items listed.
1.Add to bank balance
2.Deduct from bank balance
3.Add to checkbook balance
4.Deduct from checkbook balance
________ a.deposit in transit
________ b.bank service charge
________ c.NSF check
________ d.Check written for $95 recorded on the company's ledger as $59
________ e.Outstanding checks
________ f.Check written for $80 recorded as $800
________ g.Check printing charges
________ h.Interest earned on checking account
سؤال
A bank service charge would be included on the bank reconciliation as a(n):

A)addition to the balance per books.
B)subtraction from the balance per books.
C)addition to the balance per bank.
D)subtraction from the balance per bank.
سؤال
Determine the reconciled bank balance given the following:
The balance per bank statement is $ 110.
The balance per general ledger is $107.
There is a credit memo for a note collected,$408.
There is a credit memo for interest earned,$25.
There is a debit memo for a customer's NSF check $350.
Deposits in transit,$850.
Outstanding checks amount to $845.
This month's service charge amounts to $50.
There is a debit memo for check printing fees,$25.
$ ________
سؤال
An error,on the company's books,in recording a $72 deposit as $27 would be included on the bank reconciliation as a(n):

A)addition to the balance per bank.
B)subtraction from the balance per bank.
C)addition to the balance per books.
D)subtraction from the balance per books.
سؤال
Deposits in transit result because of a timing difference between the bank records and checkbook records.
سؤال
From the following information,prepare the bank reconciliation for Paula's Photography Studio for June.
From the following information,prepare the bank reconciliation for Paula's Photography Studio for June.  <div style=padding-top: 35px>
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ملء الشاشة (f)
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Deck 6: Banking Procedure and Control of Cash
1
A restrictive endorsement on a check:

A)can be further endorsed by someone else.
B)is the safest endorsement for businesses.
C)permits the bank to use its best judgment.
D)must be endorsed by the company president.
B
2
The check is written and signed by the:

A)drawer.
B)drawee.
C)bank teller.
D)None of the above
A
3
One internal control safeguard is to assign all the duties of receiving,depositing,and recording cash to separate employees.
True
4
The drawee is the:

A)person who writes the check.
B)bank that drawer has an account with.
C)the person to whom the check is payable.
D)person named as the co-signer.
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5
A signature card is kept in the bank files so that possible forgeries could be spotted.
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6
When a bank credits your account,it is decreasing the balance.
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7
Using correct cash handling procedures,deposits should be made by the end of the week.
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8
A signature card shows the signature of only the person who authorizes others in the company to sign checks.
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9
Advantages of on-line banking include:

A)convenience.
B)transaction speed.
C)effectiveness.
D)All of the above are correct.
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10
The person or company to whom a check is payable is called the:

A)payer.
B)drawer.
C)drawee.
D)payee.
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11
A deposit received by the bank will:

A)debit the company's bank account.
B)credit the company's bank account.
C)debit the cash account on the company's books.
D)credit the cash account on the company's books.
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12
If the written amount on the check does NOT match the amount expressed in figures,the bank may:

A)pay the amount written in words.
B)return the check unpaid.
C)contact the drawer to see what was meant.
D)All of the above are correct choices.
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13
An example of an internal control is:

A)the use of bank account.
B)all checks are prenumbered.
C)all checks written must have reference source documents.
D)All of these answers are correct.
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14
Company policy for internal control should include all of the following except:

A)Employees will be rotated twice a year.
B)Monthly bank statements should be sent to and reconciled by the same employees who authorize payments and write checks.
C)The owner (or responsible employee)signs all checks after receiving authorization to pay from the departments concerned.
D)At time of payment,all supporting invoices or documents will be stamped "paid."
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k this deck
15
Endorsing a check:

A)guarantees payment.
B)transfers the right to deposit or transfer cash.
C)allows a check to be deposited only.
D)All of these answers are correct.
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k this deck
16
A full endorsement on a check:

A)is the same as a blank endorsement.
B)can be endorsed only by the person or company named in the original endorsement.
C)is the safest endorsement for businesses.
D)does none of the above.
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k this deck
17
The first two numbers of the ABA code listed on the check represent:

A)the Federal Reserve District.
B)the code indicating business or personal account.
C)the routing number.
D)the account number.
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k this deck
18
When the bank pays a check written by the company,it would:

A)credit the customer's bank account.
B)debit the customer's bank account.
C)debit the cash account on the company's books.
D)No increase or decrease is made to the company's bank account.
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k this deck
19
Internal control over a company's assets should include the following procedures:

A)Responsibilities and duties of employees will be divided.
B)All cash receipts will be deposited into the bank the same day they arrive.
C)All cash payments will be made by check (except petty cash).
D)All of these answers are correct.
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k this deck
20
A blank endorsement on a check:

A)can be further endorsed by someone else.
B)cannot be further endorsed by someone else.
C)is the safest type of endorsement.
D)permits only the original endorser to get the money.
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k this deck
21
A nonsufficient funds check was returned to your company.How does the bank treat this on your bank statement?

A)It is added to the bank balance.
B)It is shown as a debit memo.
C)It is shown as a credit memo.
D)None of these answers is correct.
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k this deck
22
Checks that have been processed by the bank and are no longer negotiable are:

A)outstanding checks.
B)canceled checks.
C)checks in process.
D)deposits in transit.
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k this deck
23
The drawee of the check is the person receiving the money.
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k this deck
24
Outstanding checks:

A)have been deducted from the bank balance but not the checkbook records.
B)have not been presented to the bank for payment and have not been subtracted from the checkbook.
C)have not been presented to the bank for payment but have been subtracted in the checkbook.
D)have been returned to the business for nonpayment.
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k this deck
25
The bank statement does NOT show:

A)the beginning bank balance of the cash at the start of the month.
B)the checks the bank has paid and any deposits received.
C)any other charges or additions to the bank balance.
D)outstanding checks.
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فتح الحزمة
k this deck
26
Scotch Services received a credit memorandum from the bank.During the bank reconciliation they should:

A)increase their cash account on the company's books.
B)decrease their cash account on the company's books.
C)increase the ending cash balance on the bank statement.
D)decrease the ending cash balance on the bank statement.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
فتح الحزمة
k this deck
27
The bank statement included bank charges.On the bank reconciliation,this item is:

A)an addition to the balance per company books.
B)an addition to the balance per bank statement.
C)a deduction from the balance per bank statement.
D)a deduction from the balance per company books.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
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k this deck
28
List and describe some of the electronic conveniences that we are now provided when doing our banking.
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k this deck
29
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
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k this deck
30
The drawee of a check is normally the bank.
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k this deck
31
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
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k this deck
32
On a bank reconciliation,deposits added to the bank side are called:

A)deposits in transit.
B)bank collections.
C)deposits on hold.
D)outstanding deposits.
فتح الحزمة
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k this deck
33
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
فتح الحزمة
افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
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k this deck
34
A deposit ticket usually combines checks deposited with coin and currency deposited.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
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k this deck
35
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
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k this deck
36
The drawee writes the check.
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k this deck
37
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary).
Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
For each of the following,identify in Column 1 the category to which the account belongs,in Column 2 the normal balance for the account,in Column 3 the financial statement on which the account balance is reported,and in Column 4 the nature of the account (permanent/temporary). Example:
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k this deck
38
What is the purpose of internal control?
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k this deck
39
Phishing occurs when a bank customer receives an email requesting personal information.
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40
List at least five company policies that would be included in an internal control system.
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k this deck
41
Which of the following bank reconciliation items would be reflected in a journal entry?

A)Error made by the bank
B)Outstanding Checks
C)Bank service charges
D)Deposit in transit
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k this deck
42
A payment for $46 is incorrectly recorded on the checkbook stub as $64.The $18 error should be shown on the bank reconciliation as:

A)added to the balance per bank statement.
B)deducted from the balance per bank statement.
C)added to the balance per books.
D)deducted from the balance per books.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
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k this deck
43
The journal entry to record the entry of a customer's nonsufficient funds check would include a:

A)debit to Revenue.
B)credit to Cash.
C)debit to Accounts Payable.
D)credit to Accounts Receivable.
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k this deck
44
How would outstanding checks be handled when reconciling the ending cash balance per the bank statement to the correct adjusted cash balance?

A)They would be added to the balance of the bank statement.
B)They would be subtracted from the balance of the bank statement.
C)They would be added to the balance per books.
D)They would be ignored.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
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k this deck
45
From the bank reconciliation,no entry was recorded for a debit memo for a new check fee expense.This would cause:

A)liabilities to be understated.
B)liabilities to be overstated.
C)expenses to be understated.
D)expenses to be overstated.
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k this deck
46
Bank interest earned on a checking account would be shown on a bank reconciliation as:

A)added to the balance per bank statement.
B)deducted from the balance per bank statement.
C)added to the balance per books.
D)deducted from the balance per books.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
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k this deck
47
Calculate,from the following information accumulated by Bob Clark,the adjusted cash balance at the end of April.
 Bank statement ending cash balance $3,000 General ledger cash balance ending 4,250 Bank monthly service charge 45 Deposits in transit 2,500 Outstanding checks 1,500 NSF check returned with bank statement 205\begin{array} { | l | r | } \hline \text { Bank statement ending cash balance } & \$ 3,000 \\\hline \text { General ledger cash balance ending } & 4,250 \\\hline \text { Bank monthly service charge } & 45 \\\hline \text { Deposits in transit } & 2,500 \\\hline \text { Outstanding checks } & 1,500 \\\hline \text { NSF check returned with bank statement } & 205 \\\hline\end{array}

A)$4,000
B)$4,250
C)$4,205
D)$5,500
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k this deck
48
The bank would issue a credit memorandum to Mary's Life Management when the bank:

A)received the deposits in transit.
B)collects a note receivable from a customer.
C)discovered a check that was deposited was returned for nonsufficient funds.
D)None of these answers is correct.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.
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k this deck
49
The May bank statement for Rental shows a balance of $6,300,but the balance per books shows a cash balance of $7,980.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30.
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
Which item(s)will require a journal entry to update the balance in the Cash account?

A)Checks outstanding and deposits in transit
B)Bank service charges,note collected by the bank,and deposits in transit
C)Bank service charges,note collected by the bank,and error made by Accounting Services
D)None of these answers is correct.
فتح الحزمة
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k this deck
50
Information to calculate the adjusted cash balance for Sue's Company is as follows:
 Cash balance per general ledger $2,100 Customer’s check returned-NSF 75 Bank service charges 40 Deposits in transit 500 Outstanding checks 700 Customer’s note collected by bank 645\begin{array} { | l | r | } \hline \text { Cash balance per general ledger } & \$ 2,100 \\\hline \text { Customer's check returned-NSF } & 75 \\\hline \text { Bank service charges } & 40 \\\hline \text { Deposits in transit } & 500 \\\hline \text { Outstanding checks } & 700 \\\hline \text { Customer's note collected by bank } & 645 \\\hline\end{array}

A)$2,330
B)$2,430
C)$2,630
D)$2,230
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k this deck
51
Bank service charges would be shown on a bank reconciliation as:

A)addition to the balance per bank statement.
B)deduction from the balance per bank statement.
C)addition to the balance per books.
D)deduction from the balance per books.
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k this deck
52
The May bank statement for Legal Services shows a balance of $6,000,but the balance per books shows a cash balance of $7,680.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
The adjusted cash balance at the end of May should be:

A)$9,810.
B)$7,620.
C)$7,150.
D)$7,880.
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k this deck
53
The May bank statement for Consulting Services shows a balance of $7300,but the balance per books shows a cash balance of $8,980.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30.
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
Which item should be added to the company's book balance during the bank reconciliation?

A)Deposit in transit
B)Outstanding check
C)Bank service charge
D)Note collected by the bank
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k this deck
54
Determine the adjusted cash balance per bank for Sam's Packaging on November 30,from the following information:
 Cash balance on the bank statement $3,350 Customer’s check returned-NSF 500 Customer’s note collected by the bank 600 Deposits in transit, November 30 1,400 Outstanding checks, November 30 3,650\begin{array} { | l | r | } \hline \text { Cash balance on the bank statement } & \$ 3,350 \\\hline \text { Customer's check returned-NSF } & 500 \\\hline \text { Customer's note collected by the bank } & 600 \\\hline \text { Deposits in transit, November 30 } & 1,400 \\\hline \text { Outstanding checks, November 30 } & 3,650 \\\hline\end{array}

A)$1,250
B)$1,100
C)$1,550
D)$1,350
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k this deck
55
The May bank statement for Tax Services shows a balance of $5,300,but the balance per books shows a cash balance of $6,980.Other information includes:
1)A check for $200 to pay the electric bill was recorded on the books as $20.
2)Included on the bank statement was a note collected by the bank for $400 plus interest of $30.
3)Checks outstanding totaled $260.
4)Bank service charges were $50.
5)Deposits in transit were $2,140.
Which item(s)should be subtracted from the balance per books?

A)Deposits in transit
B)Checks outstanding and bank service charge
C)Bank service charge and the note collected by the bank
D)None of the above is correct.
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k this deck
56
The journal entry to adjust the records from Nothin' But Organization bank reconciliation would include:

A)the total of outstanding checks.
B)deposits in transit.
C)notification from the bank of a customer's NSF check.
D)correction of any errors or omissions on the bank statement.
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k this deck
57
If the owner of Pague Legal Services forgot to deduct a withdrawal from the balance per books,what entry would be necessary?

A)Debit Cash;credit Withdrawals
B)Debit Withdrawals;credit Cash
C)Customer collection taken by the bank
D)Debit cash;credit Revenue
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k this deck
58
From the bank reconciliation,no entry was recorded for deposits in transit.This would cause:

A)assets to be overstated.
B)assets to be understated.
C)no impact since deposits in transit are already included in the balance per books.
D)no impact since deposits are not recorded on the books.
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k this deck
59
An example of electronic funds transfer is:

A)a transfer of funds without the use of paper checks.
B)a transfer of funds by writing a check.
C)the same as a deposit in transit.
D)All of these are correct.
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k this deck
60
A payment for $51 is incorrectly recorded on the checkbook stub as $15.The $36 error should be shown on the bank reconciliation as:

A)added to the balance per bank statement.
B)deducted from the balance per bank statement.
C)added to the balance per books.
D)deducted from the balance per books.
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k this deck
61
Any adjustment to the depositor's records because of an item on the bank statement does not require a journal entry.
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62
List the various steps and procedures included in the bank reconciliation process.
What are the advantages in preparing a monthly bank reconciliation?
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k this deck
63
The bank charged another company's deposit to our account.This would be included on the bank reconciliation as a(n):

A)addition to the balance per books.
B)subtraction from the balance per books.
C)subtraction from the balance per bank.
D)addition to the balance per bank.
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64
On a bank reconciliation,outstanding checks are deducted from the balance per the bank.
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k this deck
65
Construct the bank reconciliation for Mitter Company as of July 31,from the following information:
Construct the bank reconciliation for Mitter Company as of July 31,from the following information:
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k this deck
66
Deposits that have been added to the bank balance but not the checkbook balance are called deposits in transit.
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67
Indicate which adjustments would require a journal entry during the completion of the bank reconciliation.Place an "X" on the respective line(s).
________ a.Deposit in transit
________ b.Bank service charge
________ c.NSF check
________ d.Check written for $58 recorded on the company's ledger as $85
________ e.Outstanding checks
________ f.Check written for $42 recorded as $4
________ g.Check printing charge
________ h.Note collected by bank.
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68
Construct the bank reconciliation for Bob's Tutoring,as of October 31,from the following information:
Construct the bank reconciliation for Bob's Tutoring,as of October 31,from the following information:
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69
Canceled checks are negotiable at the bank for the face value.
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70
The bank deducted another company's check from our account.This would be included on the bank reconciliation as a(n):

A)addition to the balance per books.
B)subtraction from the balance per books.
C)addition to the balance per bank.
D)subtraction from the balance per bank.
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71
Transferring money without paper checks is called electronic funds transfer.
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72
If a check marked NSF is returned from the bank,an adjusting entry debiting Cash is needed.
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73
Prepare a bank reconciliation from the following information:
Prepare a bank reconciliation from the following information:
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74
When adjustments are made to the bank balance when completing a bank reconciliation,a journal entry is needed to bring the bank balance up to date.
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75
Indicate what effect each situation will have on the bank reconciliation process.Place the number of your choice beside the items listed.
1.Add to bank balance
2.Deduct from bank balance
3.Add to checkbook balance
4.Deduct from checkbook balance
________ a.deposit in transit
________ b.bank service charge
________ c.NSF check
________ d.Check written for $95 recorded on the company's ledger as $59
________ e.Outstanding checks
________ f.Check written for $80 recorded as $800
________ g.Check printing charges
________ h.Interest earned on checking account
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76
A bank service charge would be included on the bank reconciliation as a(n):

A)addition to the balance per books.
B)subtraction from the balance per books.
C)addition to the balance per bank.
D)subtraction from the balance per bank.
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77
Determine the reconciled bank balance given the following:
The balance per bank statement is $ 110.
The balance per general ledger is $107.
There is a credit memo for a note collected,$408.
There is a credit memo for interest earned,$25.
There is a debit memo for a customer's NSF check $350.
Deposits in transit,$850.
Outstanding checks amount to $845.
This month's service charge amounts to $50.
There is a debit memo for check printing fees,$25.
$ ________
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78
An error,on the company's books,in recording a $72 deposit as $27 would be included on the bank reconciliation as a(n):

A)addition to the balance per bank.
B)subtraction from the balance per bank.
C)addition to the balance per books.
D)subtraction from the balance per books.
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79
Deposits in transit result because of a timing difference between the bank records and checkbook records.
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80
From the following information,prepare the bank reconciliation for Paula's Photography Studio for June.
From the following information,prepare the bank reconciliation for Paula's Photography Studio for June.
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افتح القفل للوصول البطاقات البالغ عددها 125 في هذه المجموعة.