Which of the following bank reconciliation items would require an adjusting entry on the depositor's books?
A) error by the bank
B) outstanding cheques
C) bank service charge
D) deposit in transit
Correct Answer:
Verified
Q81: On Andrew Corp.'s April bank reconciliation, cheques
Q82: Which of the following statements is false?
A)A
Q83: A bank overdraft would be reported as
A)a
Q84: Angel Hair Limited gathered the following reconciling
Q85: Stardust Corporation gathered the following reconciling information
Q87: Notification by the bank that a customer's
Q88: Which of the following is not a
Q89: All of the following bank reconciliation items
Q90: Which of the following is not an
Q91: Which of the following would not be
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