Essay
Indicate which adjustments would require a journal entry during the completion of the bank reconciliation. Place an "X" on the respective line(s).
________ a. Deposit in transit
________ b. Bank service charge
________ c. NSF cheque
________ d. Cheque written for $19 recorded as $91
________ e. Outstanding cheques
________ f. Cheque written for $42 recorded as $4
________ g. Cheque printing charge
________ h. Note collected by bank.
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_________ a. Deposit in transit
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