After a bank reconciliation is prepared, journal entries must be made for ______ on the book side of the reconciliation and for _______ on the bank side of the reconciliation.
A) no items; all items
B) all items; service charges
C) receivable accounts; all items
D) all items; no items
Correct Answer:
Verified
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Q31: Deposits in transit are:
A)subtracted from the book
Q33: Which of the following would NOT be
Q34: Which of the following would NOT be
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A)added
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