Which of the following items below may be made to reconcile a book balance to a bank balance?
A) a deposit in transit
B) an EFT receipt
C) outstanding cheques
D) an addition or subtraction to correct a bank error, as appropriate
Correct Answer:
Verified
Q24: If the bookkeeper mistakenly records a deposit
Q26: If a bookkeeper mistakenly recorded a disbursement
Q27: In a bank reconciliation,an EFT cash payment
Q28: If a bank statement included an EFT
Q30: If a bank reconciliation included $600 of
Q31: If a bank statement included a bank
Q32: If a bookkeeper mistakenly recorded a disbursement
Q33: If the bank records a deposit of
Q34: In a bank reconciliation,an EFT cash receipt
Q110: All cash receipts should be deposited for
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