Multiple Choice
To enter NSF cheques when deposit slips are used (receipts are recorded to a separate undeposited amounts account before entering them in the bank account) -
A) select the bank account in the receipts journal,then show paid invoices and enter negative amounts for the appropriate invoice
B) reverse the original receipt in the adjust receipts screen to restore the balance owing
C) notify the customer to replace the cheque so you will not need to make any changes to your recorded transactions
D) record the sales invoice again to restore the balance owing by the customer
Correct Answer:

Verified
Correct Answer:
Verified
Q13: Before using the deposit slip journal for
Q14: To set up the accounts for recording
Q15: When you compare the general ledger or
Q16: Cash and cheques are recorded differently on
Q17: You will have an unresolved reconciliation amount
Q19: Automatic fixed monthly payments such as auto
Q20: Which one of the following general statements
Q21: To reconcile a credit card receivable account
Q22: If the session date is May 31st,what
Q23: The Banking module window includes journal icons