Abbott Company wrote a check for $660, but recorded it in the accounting records as $606. This error would require an adjustment on the bank reconciliation of
A) Adding $54 to the balance per the bank statement
B) Deducting $54 from the balance per the bank statement
C) Adding $54 to the balance per the books
D) Deducting $54 from the balance per the books
Correct Answer:
Verified
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