Essay
Identify how each of the following items would be treated on a bank reconciliation by entering one of the following codes in the space provided.
1. Outstarding cheques.
2. Deposits in trarsit.
3. Cheque #32, subtracted from the bark balarce on last month's bark reconciliation, was retumned with this month's statement.
4. Included with the bark statement was a debit meno for bark service charges.
5. Cash receipts placed in the barik's night depository after bariking hours were not included on the bark statement prepared on the sarne date.
6. Cheque #47 was writtern and recorded by the bark as . The business recorded the cheque as .
7. A cheque listed as outstanding on last month's bark reconciliation was not retumed with the curtent month's carcelled cheques.
8. A deposit listed as outstarding on last month's bark reconciliation appeared as a deposit on the c.rrent month's bark statement.
9. A creditmemo enclosed with the bark statement shows that the bark collected a rote on behalf of the accourtholder.
10. A debit meno enclosed with the bark statement shows that the bark paid a note on behalf of the accourtholder.
Correct Answer:

Verified
Correct Answer:
Verified
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