Multiple Choice
Which of the following is required for effective control of cash?
A) One person handles the receipts and disbursements of cash.
B) Cheques be pre-numbered.
C) Cash be deposited monthly in a bank.
D) A reconciliation of the bank balance with the cash balance be prepared twice a year.
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q15: Why is the reconciliation of a company's
Q77: Finn Company has just received its
Q78: Profit for T Co. in 20X3 was
Q79: Springtime Company recorded <span class="ql-formula"
Q80: Outstanding cheques that appear on a bank
Q81: During 20X1, Thomas Company recorded bad debt
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
Q87: An NSF cheque should appear in which