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    Exam 7: Internal Control and Cash
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    On a Bank Reconciliation, Which of the Following Would Be
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On a Bank Reconciliation, Which of the Following Would Be

Question 101

Question 101

Multiple Choice

On a bank reconciliation, which of the following would be deducted from the balance per books?


A) Outstanding cheques
B) Deposits in transit
C) Electronic payment by a customer on account
D) Service charges

Correct Answer:

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