For which of the following errors should the appropriate amount be added to the balance per bank on a bank reconciliation?
A) Cheque for $43 recorded as $34 by the depositor
B) Deposit of $500 recorded by the bank as $50
C) A paid cheque for $200 recorded by the bank as $20
D) Cheque for $35 recorded as $53 by the depositor
Correct Answer:
Verified
Q67: An employee authorized to sign cheques should
Q69: A bank statement
A)lets a depositor know the
Q74: Blank cheques
A)should be safeguarded.
B)should be pre-signed.
C)do not
Q83: A company maintains the asset account, Cash
Q91: Which one of the following would not
Q96: On a bank reconciliation, which of the
Q97: On a bank reconciliation, which of the
Q98: Allowing only the treasurer to sign cheques
Q99: An NSF cheque received from a customer
Q100: If a cheque correctly written and paid
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