In comparing the canceled checks on the bank statement with the entries in the accounting records,it is found that check number 2889 for December's utilities was correctly written and drawn for $790 but was erroneously entered into the accounting records as $970.The journal entry to adjust the books for the bank reconciliation would include a debit to:
A) Utility Expense and a credit to Cash for $180.
B) Cash and a credit to Utility Expense for $180.
C) Utility Expense and a credit to Cash for $790.
D) Cash and a credit to Utility Expense for $790.
Correct Answer:
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