Multiple Choice
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
Correct Answer:
Verified
Related Questions
Q73: Electronic funds transfers never have to be
Q78: All documents should be prenumbered.
Q82: When two or more people get together
Q83: Outstanding cheques from the prior period which
Q84: Independent internal reviews should be done<br>A) at
Q85: The use of electronic funds transfers<br>A) normally
Q88: All of the following are examples of
Q90: Deposits in transit require an adjustment to
Q91: All of the following bank reconciliation items
Q119: Which of the following is not a