Multiple Choice
A check written by the company for $275 is incorrectly recorded by the company as $257.On the bank reconciliation the $18 error should be
A) added to the balance per books.
B) deducted from the balance per books.
C) added to the balance per bank.
D) deducted from the balance per bank.
Correct Answer:

Verified
Correct Answer:
Verified
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