Multiple Choice
An NSF cheque should appear in which section of the bank reconciliation?
A) Addition to the balance per books.
B) Deduction from the balance per books.
C) Addition to the balance per bank.
D) Deduction from the balance per bank.
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q15: Why is the reconciliation of a company's
Q82: Which of the following is required for
Q84: In 20X3, A Co. reported product sales
Q85: An aging of a company's trade receivables
Q86: Which of the following is true about
Q88: A sale should, not be recognized as
Q89: An inexperienced accountant made the following
Q90: In 20X3, T Co. reported a receivables
Q91: When the outcome of a construction contract
Q92: If a customer pays her bill after