Which of the following bank reconciliation items would not result in an adjusting entry?
A) Service charge.
B) Deposits in transit.
C) NSF check of a customer.
D) Collection of a note by the bank.
Correct Answer:
Verified
Q122: Which of the following items on a
Q122: Notification by the bank that a deposited
Q123: James Company had checks outstanding totaling $32,400
Q124: All of the following bank reconciliation items
Q125: In the month of November, Gavin Company
Q127: Dekin Company had checks outstanding totaling $34,000
Q128: Karlin Company gathered the following reconciling information
Q129: Dobler Company gathered the following reconciling information
Q130: For which of the following errors should
Q131: In the month of November, Gavin Company
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